Major: Finance, Banking and Insurance
Code of subject: 6.072.10.E.048
Credits: 6.00
Lecturer: PhD in Economics, Associate Professor Gorbova Khrystyna Volodymyrivna
Semester: 5 семестр
Mode of study: денна
Learning outcomes: - Apply appropriate economic and mathematical methods and models to solve financial problems. - Able to think abstractly, apply analysis and synthesis to identify key characteristics of financial systems, as well as the behavior of their subjects. - Apply theoretical knowledge to solve practical problems and interpret the results in a meaningful way. - Perform functional responsibilities in the group, offer sound financial decisions. - Ability to use professional knowledge for statistical data processing and mathematical modeling of financial and economic processes.
Required prior and related subjects: Prerequisites: Finance, Marketing; Co-requisites: Financial Market.
Summary of the subject: The purpose of teaching the discipline "Investing" is to provide students with a coherent and logically constructed system of knowledge about the essence of investment activity of economic entities, in revealing the fundamentals of theory, methodology and practice of operation and management of investment processes in the micro, meso and macro environment of these business entities. subjects; disclosure of the essence and mechanism of investment; the formation of the theoretical and methodological basis necessary for mastering the practice of using financial instruments for attracting investments; developing the ability to evaluate and analyze investment policies in the country, investment portfolios and investment projects. The purpose of the course "Investing" is to study the laws and mechanism of investment relations of the state, enterprises and individuals; acquiring the skills to use these patterns in the practice of investing, to define measures on the use of investments as one of the effective instruments of the economic policy of the state.
Assessment methods and criteria: - current control (40 points) - control measure (60 points)
Recommended books: 1. Пересада А. А. Інвестування: Навч. посібник. – К.: КНЕУ, 2004. – 250 с. 2. Гойко А.Ф. Методи оцінки ефективності інвестицій та пріоритетні напряки їх реалізації. – Київ: ВІРА-Р, 2012. – 320 с. 3. Єлейко Я. І., Єлейко О.І., Раєвський К.Є. Інвестиції, ризик, прогноз. – Львів: Львівський банківський інститут Національного банку України, 2012. – 176 с.