Магистратура
2021/2022
Финансовые рынки
Статус:
Курс адаптационный (Международный менеджмент / Master in International Management)
Направление:
38.04.02. Менеджмент
Кто читает:
Департамент финансового менеджмента
Где читается:
Высшая школа бизнеса
Когда читается:
1-й курс, 1 модуль
Формат изучения:
с онлайн-курсом
Онлайн-часы:
2
Охват аудитории:
для всех кампусов НИУ ВШЭ
Преподаватели:
Царьков Игорь Николаевич
Прогр. обучения:
Международный менеджмент
Язык:
английский
Кредиты:
3
Контактные часы:
2
Course Syllabus
Abstract
Financial Markets Program International Management Link https://www.coursera.org/learn/financial-markets-global Semester 1 Level Graduate Year 1 Study mode MOOC Type of course Adaptation ECTS 3 Prerequisites The Course ‘Financial Markets» is an adaptation course. It is recommended to have a preliminary knowledge in the following disciplines prior attending this course: -Algebra Learning outcomes to understand the principles of financial market and financial instruments to understand the relation of FM to the history, strengths and imperfections of such institutions as banking, insurance, securities, futures, and other derivatives markets, and the future of these institutions over the next century. Contents The course provides an overview of the ideas, methods, and institutions that permit human society to manage risks and foster enterprise. Emphasis on financially-savvy leadership skills. Description of practices today and analysis of prospects for the future. Introduction to risk management and behavioral finance principles to understand the real-world functioning of securities, insurance, and banking industries. The ultimate goal of this course is using such industries effectively and towards a better society. This course covers the following topics: The basics of financial markets, insurance, and CAPM (Capital Asset Pricing Model) Behavioral finance, forecasting, pricing, debt, and inflation The concepts of stocks, bonds, dividends, shares, market caps, corporation basics and some basic financial markets history Recessions, bubbles, the mortgage crisis, and regulation Important components of financial markets: options and bond markets Investment banking, underwriting processes, brokers, dealers, exchanges, and new innovations in financial markets Nonprofits and corporations
Learning Objectives
- An overview of the ideas, methods, and institutions that permit human society to manage risks and foster enterprise. Emphasis on financially-savvy leadership skills. Description of practices today and analysis of prospects for the future. Introduction to risk management and behavioral finance principles to understand the real-world functioning of securities, insurance, and banking industries. The ultimate goal of this course is using such industries effectively and towards a better society.
Interim Assessment
- 2021/2022 1st module0.7 * Coursera assessment + 0.3 * Собеседование с академическим руководителем
Bibliography
Recommended Core Bibliography
- Campbell, J. Y., Lo, A. W., & MacKinlay, A. C. (2012). The Econometrics of Financial Markets. New Jersey: Princeton University Press. Retrieved from http://search.ebscohost.com/login.aspx?direct=true&site=eds-live&db=edsebk&AN=1891894
- Fabozzi, F. J., Modigliani, F., & Ferri, M. G. (2012). Foundations of financial markets and institutions. Slovenia, Europe: Prentice Hall. Retrieved from http://search.ebscohost.com/login.aspx?direct=true&site=eds-live&db=edsbas&AN=edsbas.91C13170
Recommended Additional Bibliography
- Kidwell, D. S. (2013). Financial Markets, Institutions and Money (aus) 3e (Vol. 3rd ed). Melbourne: Wiley. Retrieved from http://search.ebscohost.com/login.aspx?direct=true&site=eds-live&db=edsebk&AN=1650525
- Narcisa Roxana MOȘTEANU. (2019). International Financial Markets face to face with Artificial Intelligence and Digital Era.