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Rahoitus ja riskien hallintaLaajuus (3 op)

Opintojakson tunnus: LX00AD33

Opintojakson perustiedot


Laajuus
3 op

Osaamistavoitteet

After completing the course the student will understand the basics of financial theory and will be able to evaluate financial information from different sources. The student will have an understanding of the financial markets and asset pricing and will be able to apply fundamental financial theories in practice.

Sisältö

Sources of finance, structure of the Financial Markets, risk management, financial terminology

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

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