Curriculum
Please see the Risk Management Specialized Academic Track brochurehere.
The Zell Center suggests the following curriculum for specialization in the area of risk management:
I) Crisis Management
SEEK-440 Values and Crisis Decision Making
II) Financial Risk
FINC-465 Derivative Markets I or FINC-467 Derivative Markets II
III) Enterprise Risk Management
OPNS-923 Enterprise Risk Management
IV) Three additional electives selected from the courses listed below.
Ethical Risk/Crisis Management:
- SEEK-440A Values, Ethics & Strategic Crisis Management
- SEEK-460 Values-Based Leadership
- SEEK-916 Socially Responsible Business Practices
Entrepreneurial Risk:
Environmental Risk:
Policy/Regulatory Risk:
Decision/Game Theory and Negotiations:
- DECS-450 Decision Analysis
- DECS-452 Strategic Decision Making
- MORS-470 Negotiations
- MORS-914 Bargaining
- INTL-474 Cross-Cultural Negotiation
Financial Risk:
- FINC-451 Money Markets and the Fed
- FINC-453 Risk Bearing Markets & Insurance
- FINC-460 Investments
- FINC-464 Fixed Income Securities
- FINC-465 Derivative Markets I
- FINC-467 Derivative Markets II
- FINC-470 International Finance
- FINC-933C Asset Management Practicum I
- FINC-934C Asset Management Practicum II
- FINC-935C Asset Management Practicum III
- FINC-936C Asset Management Practicum IV
- FINC-970 Empirical Methods in Finance
- REAL-442 Real Estate Finance and Investments
Accounting/Control/Governance Risk:
- ACCT-451 Financial Reporting and Analysis
- ACCT-452 Financial Reporting and Analysis II
- ACCT-453 Complex Financial Structures
- MGMT-913A Corporate Governance


