Managing Equity Risk Using Derivatives
It is essential for financial managers to identify risks accurately and to use the right control techniques. This module looks at managing equity risk from the investor's perspective. This is module 7 of Risk Management Using Derivatives.
CPE Credits: 1
|Prerequisites||Derivative Instruments or equivalent level of knowledge|
|Advance Preparation||No advance preparation required|
|Recent Revision Date||September 5, 2014|
|Instructional Delivery Method||QAS Self Study|
|Field of Study||Specialized Knowledge and Applications|