Opinto-opas
Opinto-opas
Vuonna 2022 alkavat ja sitä aiemmat koulutukset
Savonian uuden opinto-oppaan (2023 ja tämän jälkeen alkavat koulutukset) löydät täältä.
Lähtökohdat | Osaamistavoitteet | Opintojen rakenne | Asiantuntijuuden kehittyminen | Toteutus | Opintojaksotaulukko |
Savonia CampusOnline kevät/spring 2021
Course Description
Code | 4 CO21KLIA5360 |
Name | Advanced Finance |
Credits | 5 cr |
Credits in Foreign Language | 5 cr |
Objectives | Be able to obtain and refine financial data for analysis. Be able to estimate necessary statistics parameters and test the normality of returns. Have knowledge about the different financial investment opportunities in the market and evaluate their risk/return relationship. Understand the essential assumptions and logic behind portfolio theory, and how to apply it on real market data, using optimization and modelling techniques. Understands and apply Capital Asset Pricing Model principles on market data and financial portfolios. |
Content | - Statistics treatment of financial data. - Assessment of financial market products. - Portfolio theory and CAPM |
Requirements | - Completing the required sequence of assignments according the due date schedule. |
Grading Scale | 0 - 5 |
Course material | Reading material and other video demos are provided in Moodle. Participants are encouraged to seek different sources of knowledge to complete the assignments |
Prerequisites | Basic knowledge of finance, economics, mathematics and statistics. |
Other considerations | 100% online (Moodle) - The Moodle platform opens up for orientation and access on 07.01.2021. For to participate the course, the login is required by 10.6.2021 at the latest. - The course and exams will be opened on 7.1.2021 and will be closed on 31.5.2021 at 11.55 pm. - Assessment will be registered by 15.6.2021. |
Contact | Hannoura Abdelazim |
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