MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri
University of Southampton ยท England ยท MANG6298
MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri is a subject at University of Southampton, England. It covers topics like corporate-finance, financial-markets, financial-mathematics, risk-modelling. It is part of 2 degrees. The information below is compiled from public course material โ approximate, not official.
University of Southampton
MANG6298
3.00
Topics covered
Degrees that include MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri
- MSc Risk and Finance Typical offer: 2:1 degree Duration: 1 year
- MSc Risk Management Typical offer: 2:1 degree Duration: 1 year
Frequently asked questions
What is MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri about?
MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri covers topics like corporate-finance, financial-markets, financial-mathematics, risk-modelling.
Which degrees include MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri?
MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri is part of 2 degrees, including MSc Risk and Finance Typical offer: 2:1 degree Duration: 1 year, MSc Risk Management Typical offer: 2:1 degree Duration: 1 year.
How many credit points is MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri?
MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri at University of Southampton is typically around 3.00 credit points. Approximate โ confirm with the university.
Where is MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri taught?
MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri is taught at University of Southampton, England.
Studying MANG6298 2026-27 Management of Financial Risk In this module, the aim is to integrate risk management as part of financial theory and practice. The three main risk concepts in the investment and corporate risk management field are: market risk (times seri?
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Sources: University of Southampton public course catalogue. Information is compiled and summarised โ not copied verbatim โ and is approximate; always confirm with the original source.
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