Strategic Financial Management

Module code: MN7060

This module will give you a clear understanding of the sources of finance available to an organisation.  You will learn how to measure and manage the risk inherent to strategic financial decisions, how to identify and analyse investment and appraisal techniques.  The module will also cover the theoretical and empirical considerations needed to understand the behaviour of capital markets and developments in asset valuation models.  

You will analyse the nature of the relationship between risk and return in financial theory and empirical research.  You will study the relevance of the Capital Asset Pricing Model and the Arbitrage Pricing Theory in capital budgeting decisions, identify and evaluate current trends in financial markets.

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