Master’s Thesis Defence

Major: Finance, Banking and Insurance
Code of subject: 7.072.00.O.021
Credits: 3.00
Department: Finance
Lecturer: Alieksieiev I., Bondarchuk M., Rysin V., Khoma I., Shkvarchuk L., Zhelizniak R.
Semester: 4 семестр
Mode of study: денна
Learning outcomes: PR03. To adapt and modify existing scientific approaches and methods to specific situations during the defense of the master's thesis. PR04. Search, process, systematize and analyze the information needed to solve professional and scientific problems in the field of finance, banking and insurance in the defense of master's thesis. PR06. It is available and reasoned to present the results of research in the defense of master's thesis. PR07. Solve ethical dilemmas based on the rule of law, ethical principles and universal values ??in the defense of master's thesis PR09. Apply managerial skills in finance, banking and insurance while defending a master's thesis PR14. To substantiate the relevance of research, the possibility of achieving the goals taking into account the available resources, to make hypotheses, to argue conclusions on the results of research in the defense of master's thesis
Required prior and related subjects: - prerequisites: financial management, tax management, financial services market, insurance management, research methodology in finance, financial innovations. - co-requisites: practice on the topic of master's qualification work, performance of master's qualification work.
Summary of the subject: Justification of relevance and theoretical framework of selected problem. Analysis and synthesis of theoretical and empirical research, financial analysis of the research object; analysis of research on the subject of work; SWOT-analysis; forecasting indicators of financial and economic activity. Justification of the use of economic and mathematical methods and models according to the theme for the applied financial and economic problems solution, the definition and selection of the best options for the economic development of the research object. Development of the recommended measures, the justification criterion final target level of financial and economic indicators; forming a system of measures and selection tools solve problems; assessing the impact of proposed activities (projects) on summary financial and economic results.
Assessment methods and criteria: Evaluation of the content of the work and the report on public defense, answers to questions, feedback from the head, reviewer's review (100 points)
Recommended books: 1. Bondarchuk M. Modern approaches to socio-economic, informational and scientific-technical development of national economic entities: a collective monograph /MK Bondarchuk, SV Paranchuk, OS Chervinskaya, OY Vivchar, - Dnipro: Porohy, 2020. - 520 p. 2. Zagorodniy AG Financial and economic dictionary. / А.G. Zagorodniy, G.L. Vozniuk - 3rd ed., Ext. and rework. - Lviv: Lviv Polytechnic Publishing House, 2011. - 844 p. 3. Kirichenko OA Financial services market: Textbook / O.A. Kirichenko , М.P. Denysenko, А.В. Chupis // 2nd edition of revisions. and add. - К .: Dorado-druk, 2017. - 352 с. 4. Klapkiv Yu.M. Insurance services market: conceptual principles, technical innovations and development prospects: monograph. Ternopil: TNEU, 2020. 568 p. 5. Competitiveness of the insurance market of Ukraine in terms of intensification of globalization processes: a collective monograph [text] / on the materials of the scientific group and the scientific edition of Dr. Econ. Sciences, Prof. LV Shirinyan. - Kyiv: Lira-K Publishing House, 2020. - 404 p. 6. Kupchak M. Ya., Samilo AV Tax Management. Tutorial. - Lviv, 2020. - 185 p. 7. Research methodology in finance: textbook. manual for students and graduate students of specialty 072 "Finance, Banking and Insurance" / Alekseev IV, Mazur AV, Moroz AS - Lviv: Lviv Polytechnic National University Publishing House, 2020. - 62 p. 5.16 pp 8. Methodology of scientific research: textbook. way. / VI Zatserkovny, IV Tishaev, VK Demidov. - Nizhyn: NDU. M. Gogol, 2017. - 236 p. ISBN 978-647-527-156-8 9. Mishchenko IA, Chorny GM, Fishchuk N.Yu. (2017). Research methodology in the context of dissertations and dissertations in economics. Economics of agro-industrial complex (1), http://nbuv.gov.ua/UJRN/E_apk_2017_1_14. 10. Naumenkova SV Financial services market: Textbook. manual / S.V. Naumenkova, VI Mishchenko. - K .: Knowledge, 2018. - 532 p. 11. Naumenkova SV The system of regulation of financial services markets of foreign countries: Textbook. manual / S.V. Naumenkova, VI Mishchenko. - K .: CND NBU, UBS NBU. - 2018. -170 p. 12. Omelchenko LS Financial management: textbook. way. / LS Omelchenko. - Mariupol: PDTU, 2016. - 235 p. 13. Paranchuk SV Moroz AS, Chervinska OS, Sinyutka NG Tax management. Textbook / Lviv. Lviv Polytechnic Publishing House, 2017. - 294p. 14. Partin G.O. - Financial management: a textbook. / G.О. Partin, N.E. Seliuchenko. - Lviv: Lviv Polytechnic Publishing House, 2018. - 388 p. 15. Financial instruments: evaluation and reflection in the reporting of banks: a monograph / cl. aut. [R. A. Slavyuk, OO Glushchenko, Yu.M. Kozlovsky, ML Lapishko, LO Shkvarchuk and others. ] for ag. ed. Dr. Econ. Sciences, Prof. Slavyuka RA - K .: UBS, 2015. - 412. 16. Khoma IB Financial services market: Textbook. manual / IB Homa, I.V. Alekseev, LS Trevogo, N.I. Andrushko // 2nd edition. - Lviv: Lviv Polytechnic National University Publishing House, 2012. - 248 p. 17. Shkvarchuk LO Financial market: [textbook. manual] / LO Shkvarchuk. - Kyiv: Knowledge, 2013. - 382 p.