API-148: Advanced Risk Management and Infrastructure Finance

Semester: Fall

Credit: 4.0

Syllabus: Click here for syllabus

Faculty: Akash Deep


Day Time Location
Term Start Date 8/31
Meet Day M/W 11:45 AM - 1:00 PM Littauer Bldg 280 (HKS)


The course presents an advanced treatment of the theory of financial risk management and its application to infrastructure finance. The theory presented in the course covers the topics of economic and financial rate of return, measurement of risk exposure, cost of funds, capital structure, valuation methods, dynamic hedging using futures and swaps, and credit risk models and derivatives. Applications, discussed mostly in the form of infrastructure cases, will examine issues related to project finance, public-private partnerships, project appraisal, risk allocation, debt management, commodity, interest-rate and currency risk hedging, credit enhancement, regulation and privatization.

Prerequisite: Prior course in finance at the level of API-141 or equivalent.

Review Session: Friday 1:15-2:30pm (L140)

John F. Kennedy School of Government 79 John F. Kennedy Street
Cambridge, MA 02138
617-495-1100 Get Directions Visit Contact Page