You are required to prepare an individual learning journal on the module reflecting in particular on the following points:
How will your enhanced understanding of derivatives (e.g. Futures etc.) help you and/or your firm risk manage in a global environment?
Critically outline how you can use hedging to offset both currency and interest rate risk?
What risks might you and your firm face resulting from a crisis (for example, Covid-19, Eurozone crises, and Brexit)?
What elements of the module are of the most immediate practical relevance to you in your present role? How will you draw on these to make your job more effective?
The learning journal should be a reflective log of the module learning’s and may conclude with key practical takeaways for you in your role / future role