Financial Markets Development (курсовий проект)

Major: Finance, Banking and Insurance
Code of subject: 6.072.03.E.066
Credits: 3.00
Department: Finance
Lecturer: PhD, Docent Chubka O. M.
Semester: 5 семестр
Mode of study: денна
Мета вивчення дисципліни: The purpose of studying the academic discipline is the formation of students' theoretical and practical knowledge on the foundations of the formation, functioning and development of the financial market
Завдання: ZK02. Ability to apply knowledge in practical situations. ZK08. Ability to search, process and analyze information from various sources. ZK12 Ability to work autonomously. SK07. Ability to compile and analyze financial statements. SK10. Ability to determine, justify and take responsibility for professional decisions. SK12. The ability to analyze the financial condition of corporations and determine effective directions for the development of financial and economic activity and the growth of financial potential. SK16. The ability to find out cause-and-effect relationships, analyze external and internal information for the formation of financial plans, development of elements of product, price, sales, credit, tax, investment policy of business entities, including financial institutions.
Learning outcomes: PR09. Form and analyze financial statements and correctly interpret the received information. PR16. Apply the acquired theoretical knowledge to solve practical problems and meaningfully interpret the obtained results. PR19. Demonstrate the skills of independent work, flexible thinking, openness to new knowledge. PR30. Diagnose the state of operational and investment activities of financial corporations and assess the prospects and risks of cooperation with them, carry out financial monitoring procedures.
Required prior and related subjects: prerequisite: insurance co-requisites: financial market, banking
Summary of the subject: Financial market: essence, functions and role in the economy. Regulation of the financial market. Financial instruments: essence, types, characteristics. Credit market institutions. Credit market instruments. Foreign exchange market and foreign exchange operations. Organization of the stock market. Equity securities. Debt securities. Derivative securities. Stock indices and ratings
Опис: 1. Theoretical part. 2. Analytical part. 3. Recommendation part.
Assessment methods and criteria: Oral defense of completed course project. Before the defense, the course project is sent to the teacher for checking or to his e-mail through the communication channel Remote classes are held on the MS Teams platform.
Критерії оцінювання результатів навчання: A - grade "excellent" (88-100 points); • B – grade "good" (80-87 points); • C - grade "good" (71-79 points); • D - grade "satisfactory" (61-70 points); • E - grade "satisfactory" (50-60 points); • F – grade "unsatisfactory" (00-49).
Порядок та критерії виставляння балів та оцінок: Defense of completed course project - 100.
Recommended books: 1. Шелудько В.М. Фінансовий ринок : підручник. К.: Знання, 2015. 535 с. 2. Арутюнян С.С., Добриніна Л.В. Фінансовий ринок: навч. посібник. К : Гуляєва В.М. 2018. 484 с. 3. Баранова В.Г., Гончаренко О.М. Розвиток фінансового ринку України в умовах європейської інтеграції: проблеми та перспективи: колективна монографія. Харків: «Діса плюс». 2019. 370 с. 4. Арутюнян С.С., Іоргачова М.І. Ринок фінансових послуг: навч. посіб. Харків: «Діса плюс», 2020. 312 с.
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