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An application of finance and economic theory to the financial management and operation of banks in New Zealand and internationally, from a risk and regulation perspective. Attention is also given to the fragility of modern banking and its impact on systemic risk.
|2020||Semester One full semester||Internal||Auckland Campus|
|2020||Semester One full semester||Distance|
|2020||Semester One full semester||Internal||Manawatu Campus|
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