Магистратура
2024/2025



Корпоративные финансы 2
Статус:
Курс по выбору (Финансы)
Направление:
38.04.08. Финансы и кредит
Кто читает:
Департамент финансов
Где читается:
Санкт-Петербургская школа экономики и менеджмента
Когда читается:
2-й курс, 1 модуль
Формат изучения:
без онлайн-курса
Охват аудитории:
для своего кампуса
Преподаватели:
Андрианов Александр Юрьевич
Прогр. обучения:
Финансы
Язык:
английский
Кредиты:
3
Course Syllabus
Abstract
The course teaches students to analyze complex strategic issues facing an organisation, taking into account existing risks and stakeholder needs - on debt financing, APV and adjusted WACC, currency and interest rate risk, as well as on the value of the value-based management.
Learning Objectives
- The course is aimed to apply relevant knowledge, skills and exercise professional judgement as expected of a senior financial executive or advisor, in taking or recommending decisions relating to the financial management of an organisation in private and public sectors.
Expected Learning Outcomes
- Explain and evaluate the role and responsibility of the senior financial executive or advisor in meeting conflicting needs of stakeholders and recognise the role of international financial institutions in the financial management of multinationals
- Evaluate potential investment decisions and assessing their financial and strategic consequences, both domestically and internationally
- Assess and plan acquisitions and mergers as an alternative growth strategy
- Evaluate and advise on alternative corporate re-organisation strategies
- Apply and evaluate alternative advanced treasury and risk techniques
Course Contents
- 1. Debt finacing
- 2. APV and risk-adjusted WACC
- 3. Real Options
- 4. Hedging Foreign currency risk
- 5. Hedging interest rate risk
- 6. Value-Based management
Interim Assessment
- 2024/2025 1st module0.4 * Exam + 0.1 * Homework + 0.5 * In-group or individual online / in-class open book tests