Description
This course explores the evolution of financial innovation and its impact on money and investment strategies in today?s global market. Students will analyze how technological advancements and new financial instruments are reshaping investment practices and risk management. The program covers the principles of financial innovation, strategies for portfolio diversification, and techniques for assessing and mitigating risks. By the end of the course, students will be able to apply innovative approaches to investment and develop sustainable strategies that respond to the challenges of a dynamic financial environment.
Type Subject
Optativa
Semester
First
Credits
6.00
Previous Knowledge
Objectives
Contents
Methodology
Evaluation
Evaluation Criteria
Basic Bibliography
Additional Material