Бакалавриат
2024/2025
Введение в финансовую экономику
Статус:
Курс по выбору (Международный бакалавриат по бизнесу и экономике)
Направление:
38.03.01. Экономика
Кто читает:
Департамент финансов
Где читается:
Санкт-Петербургская школа экономики и менеджмента
Когда читается:
2-й курс, 3 модуль
Формат изучения:
без онлайн-курса
Охват аудитории:
для своего кампуса
Язык:
английский
Кредиты:
3
Course Syllabus
Abstract
This introductory course aims to provide students with an overview of the core subjects within the Finance and Investment professional track. Through practical cases and examples, students will also gain knowledge of key areas within finance. The teaching methods includes lectures, group discussions, hands-on projects. One of the key strengths of this course is its strong emphasis on real-world application. We believe that theory comes to life when applied to practical situations. Throughout the course, you'll be exposed to numerous case studies, industry trends, and examples that bridge the gap between the classroom and the dynamic financial world. To ensure your understanding and progress, the course includes a variety of assessments. These may include regular quizzes, assignments, presentations, and a final exam. Each assessment is designed to gauge your grasp of the material, and the grading criteria will be clearly communicated.
Learning Objectives
- provide students with an overview of the core subjects within the Finance and Investment specialization
Expected Learning Outcomes
- Provide students with an overview of the core subjects within the Finance and Investment specialization
Course Contents
- Intro and course outline
- Accounting and reporting
- Business finance
- Financial Data Analysis Tools
- Financial markets
Interim Assessment
- 2024/2025 3rd module0.25 * Grade 1 + 0.25 * Grade 2 + 0.25 * Grade 3 + 0.25 * Grade 4
Bibliography
Recommended Core Bibliography
- Accounting information systems, Hall, J. A., 2007
- Bond markets, analysis, and strategies, Fabozzi, F. J., 2013
- 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