Yrityksen rahoitusLaajuus (3 op)
Opintojakson tunnus: LX00AD26
Opintojakson perustiedot
- Laajuus
- 3 op
Osaamistavoitteet
Upon completing this course the student will be able to:
- Understand the essential features of financial markets and securities
- Conduct analyses of investment projects
- Employ techniques to control exposure to financial risk
- Conduct detailed analyses of investment opportunities
- Conduct more advanced risk management
Sisältö
Investment appraisal
Portfolio theory and the capital asset pricing model
Risk management
Capital structure
Theoretical perspectives on financial markets
Esitietovaatimukset
English language proficiency
Arviointikriteerit, tyydyttävä (1)
Sufficient performance: showing just enough understanding of the subject to merit a pass grade but requiring greater effort to achieve a more satisfactory result
Arviointikriteerit, hyvä (3)
Good performance: showing strong understanding of basic concepts and good grasp of techniques, but with certain minor problems still requiring further attention
Arviointikriteerit, kiitettävä (5)
Excellent performance: not only fulfils all standard requirements but demonstrates originality and imagination