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Published education catalogue

Financial Risk Management - Portfolio Theory and Derivatives

Education information from the published source. The education record and its time-bound offerings are kept separate.

Education facts

Code: 730A29

<p>Kursen fokuserar p&aring; investeringsprocessen, finansiell riskhantering via derivatinstrument och portf&ouml;ljhantering i teori och praktik. Kursen kan ges p&aring; svenska/och eller engelska.</p>

Entry requirements

Economics, basic courses, 30 ECTS credits, Economics, continuation courses, 30 ECTS credits, and Economics, in-depth courses, 30 ECTS credits, with at least 60 ECTS credits approved 15 ECTS credits in Corporate Finance English and Swedish corresponding to the level of English and Swedish in Swedish upper secondary education (Engelska 6 or Engelska nivå 2 and Svenska 3 or Svenska nivå 3)

Education offerings

Each offering has its own dates and conditions. Closed offerings are retained as history and do not mean that a new application is open.

Source and updates

Skolverket Susa-navet

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Published: .

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Publication version: 8e217193-f5fa-4778-b085-a4521fd03e8d

Checksum: 1b0dc54c0fc8a359f83ba9dc8f9d468479ce432de4c03bce3b8b33dd67fe3f6c

Last changed according to the source: 2026-02-03T15:38:45