Corporation and Financial Infrustructure

Major: Finance, Banking and Insurance
Code of subject: 6.072.01.E.076
Credits: 6.00
Department: Finance
Lecturer: associate professor Roman Zhelizniak, PhD
Semester: 7 семестр
Mode of study: денна
Learning outcomes: As a result of studying the module, the student should: to know: the system of information and organizational support for the financial support of corporations, development indicators of the main sectors of the financial market; performance indicators of financial institutions; methods of evaluating the performance of financial market entities. be able to: analyze and forecast ways and parameters of the development of individual segments of the financial market; to give presentations of the results of one's own work, scientific and practical material; to accumulate and use primary information to fulfill assigned tasks in the field of education and science.
Required prior and related subjects: Investment Finances of foreign corporations
Summary of the subject: The discipline is aimed at forming students' system of knowledge about the financial infrastructure, 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. Study of the role of corporations in the financial system and their interaction with the financial infrastructure. Analysis of the structure, functions and strategies of corporations, as well as their impact on the financial market. Along with this, the basic principles and tools of the financial infrastructure, such as payment systems, stock exchanges, banking institutions, etc., are studied. The study of the effective functioning of corporations in the context of the modern financial system and the mastery of key concepts that will help students analyze and forecast the behavior of corporations and the transformation of the financial infrastructure.
Assessment methods and criteria: - current control (40 points) - final (examination) control (60 points)
Recommended books: 1. Дука А.П. Теорія та практика інвестиційної діяльності. Інвестування: Навч. посіб. – К.: Каравела, 2017. – 424с. 2. Козій Н. С. Інфраструктура фінансового ринку України в умовах цифрової економіки / Н. С. Козій, О. О. Синиця // Економічний Простір. – 2020. – №154. – С.156–160. 3. Шкварчук Л. О. Фінансовий ринок : навч. посібн. / Л. О. Шкварчук. – К.: Знання, 2013. – 382 с.