ECON 4230

ECON 4230

Course information provided by the Courses of Study 2014-2015.

Covers bank management and supervision, with special reference to international supervisory agreements (Basel II) and U.S. Federal guidance. Sources of risk are considered-market, credit, operational, and others. Quantitative methods for modeling and measuring risk are covered.  NOTE: Formerly ECON 3340.

When Offered Fall, spring.

Prerequisites/Corequisites Prerequisite: ECON 3030 and ECON 3140 or ECON 3125 or an equivalent statistics background (probability, probability distributions, expectations, regression).

Distribution Category (SBA-AS)

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Syllabi: none
  •   Regular Academic Session. 

  • 4 Credits Stdnt Opt

  • 16667 ECON 4230   LEC 001

  • Instruction Mode: