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MSc in Economics and Business Administration in Accounting, Strategy and Control

Risk Man­age­ment and Cor­por­ate Fin­ance

About the course

What you will learn

  • Reflect on the implications of efficient markets and frictions on corporate financing and risk management.
  • Apply capital budgeting techniques and perform valuations.
  • Explain which factors are important for optimal capital structure choice, payout policy, and firm values.
  • Apply financial option techniques for the hedging and risk management of corporate risks.
  • Understand the assumptions and limitations of the various theories and models.
  • Put corporate finance and risk management insights from theories and models into context and perspective.