Behavioral Analysis in the International Financial Market
Major: Finance, Banking and Insurance
Code of subject: 7.072.04.E.062
Lecturer: PhD in Economics, associate Professor Moroz Nataliia
Semester: 3 семестр
Mode of study: денна
Learning outcomes: Apply management skills in the field of international finance. Search, process, systematize and analyze information needed to solve professional and scientific problems in the field of international finance. Carry out diagnostics and modeling of financial activities of economic entities in the international financial market.
Required prior and related subjects: Financial Management, Banking Management, Insurance management, Financial services market
Summary of the subject: 1. The essence and features of behavioral analysis in the international financial market. 2. The hypothesis of an efficient market. 3. Theory of perspectives. 4. Heuristics and deviations in the behavior of participants in the international financial market. 5. Psychological effects in decision-making in the international financial market. 6. Market models that take into account behavioral factors. 7. Problems of application and prospects of use behavioral analysis in the international financial market.
Assessment methods and criteria: Final control (100%): practical classes (50%), tests (20%), oral component (30%).
Recommended books: 1. Theoretical and methodological principles and features of the financial market of Ukraine: a monograph / I.M. Krupka. Lviv: Ivan Franko Lviv National University, 2019. 822 p. 2. International Finance: a textbook / O.V. Mytsak, T.Ya. Andreykiv, I.R. Chui. Lviv: Lviv University of Trade and Economics Publishing House, 2020. 193 p. 3. Socio-economic and management concepts: collective monograph / Krupelnytska І., – etc. Іnternational Science Group. 2021. 660 р. 4. Illiashenko P. (2017).Behavioral Finance: History and Foundations. Visnyk of the National Bank of Ukraine, № 239, pp. 28-54.