Major: Finance, Banking and Insurance
Code of subject: 6.072.00.O.034
Lecturer: professor Shkvarchuk Lyudmyla
Semester: 5 семестр
Mode of study: денна
Завдання: - Ability to conduct research at the appropriate level; - Ability to search, process, and analyze information from various sources. - Ability to research trends in economic development using the tools of macro- and microeconomic analysis, to evaluate modern economic phenomena; - Ability to diagnose the state of the financial market; - Ability to apply knowledge of legislation in the field of financial market regulation; - Ability to perform control functions in the field of finance, banking, and insurance; - Ability to determine, justify and take responsibility for professional decisions; - Ability to analyze financial potential, use methods of assessing solvency and manage portfolios of services and investments of financial institutions, taking into account the state of the financial market and macroeconomic factors.
Learning outcomes: To know and understand economic categories, laws, and causal and functional relationships between processes and phenomena at different levels of economical systems. To determine the peculiarities of the functioning of the modern world and national financial systems and their structure. To know the functioning of state finances, including budget and tax systems, finances of business entities, household finances, financial markets, banking system, and insurance. To understand the principles, methods, and tools of the state and market regulation of activities in the field of finance, banking, and insurance. To understand the requirements for activity in the specialty, due to the need to ensure the sustainable development of Ukraine, it strengthening as a democratic, social, and legal state. To design and develop financial relationships with counterparties using the financial infrastructure. To diagnose the state of operational and investment activities of financial corporations and assess the prospects and risks of cooperation with them, and carry out financial monitoring procedures.
Required prior and related subjects: • Business plan • Banking
Summary of the subject: The course is aimed at forming students' system of knowledge about the financial market, the history of its formation and development in Ukraine, the structure and features of its functioning, regulatory and legal regulation, features of the development of financial institutions, attributes of the issue and circulation of financial instruments.
Опис: Financial Market: the meaning, function, and role in the economy. The regulation of the financial market. Financial Instruments: nature, types, characteristics. Instruments of the credit market. Foreign exchange market and currency transactions. The stock market. Equity securities. The debt securities. Derivatives. Stock market indexes. Securities rating.
Assessment methods and criteria: Current control of the acquirer's work: selective oral survey; presentations at seminars, tests, test control, the performance of creative tasks, problem-solving, simulation and business games, and debates. Examination control: evaluation of the examination (written and oral components). Written component: tasks of the 1st and 2nd level - tests; tasks of the 3rd level - tasks.
Критерії оцінювання результатів навчання: Current control (40 points): selective oral survey - 2 presentations at seminars - 3 performance of creative tasks - 7, problem-solving - 7, simulation and business games - 8, debates - 8, the performance of tests in the National Emergency Service - 5 points Examination control (60 points).
Порядок та критерії виставляння балів та оцінок: Assessment of knowledge during practical tasks is carried out according to the following methodology: - oral express survey - 2 points; - testing of students' knowledge of theoretical material in the National Academy of Sciences - 0.4 points for each topic; - execution of simulation and business games - 8 points; - problem-solving - 2 points for each problem; Evaluation of the quality of performance of creative tasks is carried out according to the following methodology: - report preparation – 3 points; - participation in the discussion of report materials - 4 points; Participation in the discussion of a problematic issue, in the form of a debate - 8 points.
Recommended books: 1. Шелудько В.М. Фінансовий ринок : [підручник] / В. М. Шелудько. – К.: Знання, 2015. – 535 с. 2. Фінансовий ринок : підруч.: у 2-х т. / Ю. М. Коваленко, Ю. В. Ковернінська, С. В. Онишко, М. О. Кужелєв [та ін.] ; кер. авт. кол., наук. ред. Ю. М. Коваленко ; Державна фіскальна служба України, Ун-т ДФС України. – Ірпінь, 2018 3. Шкварчук Л. О. Фінансовий ринок. Київ. 2013. 382 с. 4. Фінансовий ринок: навч. посібник за заг. ред. Арутюнан С.С. Одеса, 2018.
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