International Capital Markets

Major: Finance, Banking and Insurance
Code of subject: 7.072.01.E.024
Credits: 6.00
Department: Finance
Lecturer: Assoc. Prof.Lyvdar Marta, PhD
Semester: 4 семестр
Mode of study: денна
Мета вивчення дисципліни: To provide theoretical knowledge and practical skills, communication sufficient for the successful performance of professional duties in specialty 072 "Finance, banking and insurance" and to prepare applicants for further employment in the chosen specialty. This will be ensured as a result of students' formation of competences regarding the justification of financial decisions in an international environment with varying degrees of uncertainty and risk.
Завдання: general competencies: Ability to identify, pose and solve problems. professional competences: The ability to use the fundamental patterns of development of finance, banking and insurance in combination with research and management tools to carry out professional and scientific activities. The ability to evaluate the effectiveness of scientific, analytical and methodical tools for justifying management decisions in the field of finance, banking and insurance. Ability to develop technical tasks for the design of information systems in the field of finance, banking and insurance. The ability to analyze financial and tax policy at the micro and macro levels and to justify directions for their improvement. The ability to adapt and implement international standards and regulations in the practical activities of corporations in terms of managing assets, capital, investments, financial results, financial risks. The ability of scientific research and modeling of budgeting and taxation processes in corporations, their anti-crisis financial management and financial controlling, relationship with financial intermediaries, management of investment and contractual activities in corporations, using professional knowledge of finance, banking and insurance.
Learning outcomes: As a result of studying the academic discipline, the student must be able to demonstrate the following learning outcomes: knowledge and critical understanding of basic theories, principles, methods and concepts in education and professional activity. skills: solving complex, unpredictable tasks and problems in specialized areas of professional activity and/or training, which involves the collection and integration of information (data), the selection of methods and tools, the use of innovative approaches. communication: the ability to effectively form a communication strategy. autonomy and responsibility: responsibility for the professional development of individuals and/or groups of individuals. Adapt and modify existing scientific approaches and methods to specific situations of professional activity. Communicate freely in a foreign language orally and in writing on professional and scientific issues, present and discuss research results. To solve ethical dilemmas based on the norms of the law, ethical principles and universal human values. To substantiate the relevance of research, the possibility of achieving the set goals taking into account the available resources, to put forward hypotheses, to argue conclusions based on the results of research. Choose methods of adaptation and ways of using international standards and regulations in the practical activities of a professional in the field of finance. Take into account the impact of the situation on international financial markets when planning the capital structure and portfolio of financial investments.
Required prior and related subjects: Financial services market Research methodology in finance
Summary of the subject: Study of the process of formation of the international financial market, methods of segmentation of the international financial market and modern tools for hedging currency risks. Areas of Ukraine's activity on international financial markets, the process of internationalization and globalization of international money and capital markets, Eurocurrency and Eurocredit markets, types of services offered by commercial banks in the capital market, methods and mechanisms of financing international projects.
Опис: Lecture 1. The essence and form of international capital pyxy in the modern economy Lecture 2. International financial market Lecture 3. International currency market in the system of foreign economic relations Lecture 4. International credit. International credit market Lecture 5. International securities market Lecture 6. Euromarket and its financial instruments Lecture 7. International monetary and credit institutions
Assessment methods and criteria: Methods of controlling the knowledge and skills of the student in studying the discipline include: Testing at the State Emergency Service; Writing and defense of the test work; Oral examination in practical classes, work in small groups; Execution of an individual task (optional) and its protection;
Критерії оцінювання результатів навчання: Current control (PC) Forms of current control Max points (PC) Execution and protection of control work 20 Execution and protection of individual task 33 Testing at the National Security Service (7*1 point) = 7 points Oral survey, work in small groups 40 Total for discipline 100
Порядок та критерії виставляння балів та оцінок: 100–88 points – (“excellent”) is awarded for a high level of knowledge (some inaccuracies are allowed) of the educational material of the component contained in the main and additional recommended literary sources, the ability to analyze the phenomena being studied in their interrelationship and development, clearly, succinctly, logically, consistently answer the questions, the ability to apply theoretical provisions when solving practical problems; 87–71 points – (“good”) is awarded for a generally correct understanding of the educational material of the component, including calculations, reasoned answers to the questions posed, which, however, contain certain (insignificant) shortcomings, for the ability to apply theoretical provisions when solving practical tasks; 70 – 50 points – (“satisfactory”) awarded for weak knowledge of the component’s educational material, inaccurate or poorly reasoned answers, with a violation of the sequence of presentation, for weak application of theoretical provisions when solving practical problems; 49-26 points - ("not certified" with the possibility of retaking the semester control) is awarded for ignorance of a significant part of the educational material of the component, significant errors in answering questions, inability to apply theoretical provisions when solving practical problems; 25-00 points - ("unsatisfactory" with mandatory re-study) is awarded for ignorance of a significant part of the educational material of the component, significant errors in answering questions, inability to navigate when solving practical problems, ignorance of the main fundamental provisions.
Recommended books: 1. Bondarchuk M.K. (2021)Otsiniuvannia finansovoi diialnosti terytorialnykh hromad/ M.K.Bondarchuk, Kh.B.Dzhuryk , O.I.Vivchar/Scientific research of the XXI century. Volume 2 : collective monograph / Compiled by V. Shpak; Chairman of the Editorial Board S. Tabachnikov. Sherman Oaks, California : GS publishing service 2.Lyvdar M.V. Navchalno – metodychnyi kompleks VNS Lvivskoi politekhniky z dystsypliny «Mizhnarodni rynky kapitalu» / M.V. Lyvdar // – Sertyfikat № 02290 pro vyznannia informatsiinoho resursu u Virtualnomu seredovyshchi Lvivskoi politekhniky metodychnoiu pratseiu z dystsypliny «Mizhnarodni rynky kapitalu», E41-231-690/2018 vid 11.05.2018 r. Adresa rozmishchennia: 3. Lyvdar M. Elaboration of technology for implementing organizational solutions on innovative clusters development /О. Farat, M. Lyvdar // Baltic Journal of Economic Studies. – 2019. – Vol. 5, No. 3. – P. 207–212. (Web of Science). 4.Lyvdar, M., Fedevych, L., Bukovska, N. Trudova mihratsiia v Yevropi ta yii vplyv na Ukrainu/M. Lyvdar, L. Fedevych, N. Bukovska // Ekonomika ta suspilstvo. [Elektronnyi resurs] – 2021. – № 24, (fakhove vydannia,) URL: 5. Lyvdar M. (2022) Moderni aspekty vedy. - Svazek XXII mezinarodni kolektivni monografie/ M. Lyvdar, l. Antoshchuk, O. Roik. – Jesenice: Publishing Group „ Vedecka perspektiva “, 2022. – 550 р. 6.Information and innovation technologies in economics and administration: monograph(2019). – (Series of monographs Faculty of Architecture, Civil Engineering and Applied Arts ; monograph 27)/ P. Horyslavets, N. Dobosz, A. Kazarian, K. Beregovska, V. Teslyuk, Y. Pozdnyakov, M. Lapishko, R. Feshchur, M. Tymoshchuk, S. Shyshkovskyi, A. Manila, I. Khoma, O. Poburko, I. Bakushevych, Y. Bakushevych, O. Slyusarchuk, Y. Slyusarchuk. – Katowice: Wydawnictwo Wyzszej Szkoly Technicznej w Katowicach, . – 267 р.
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