International financial markets conditions
Course: International economic relations (master)
Structural unit: Educational and scientific institute of international relations
Title
International financial markets conditions
Code
ВК 2.4
Module type
Вибіркова дисципліна для ОП
Educational cycle
Second
Year of study when the component is delivered
2021/2022
Semester/trimester when the component is delivered
3 Semester
Number of ECTS credits allocated
4
Learning outcomes
To know and master theoretical knowledge of: approaches to the classification of international financial markets; the concept of "market conditions", its types, forms of manifestation, factors of formation and the system of indicators that determines its trends; concepts, system and principles of functioning of international financial markets; the concept of economic cycles, business cycles, correction tools of economic conditions; the concept of factors of general economic conditions, methods of their assessment and analysis; peculiarities of the situation in international financial markets in the context of financial globalization; sources of information on indicators and indices as a tool for analysing the situation in international financial markets; general patterns of formation and redistribution of financial resources in the context of challenges to the predictability of certain segments of international financial markets.
Form of study
Full-time form
Prerequisites and co-requisites
A student is expected to have a general knowledge of the behaviour of economic agents in market conditions, a universal tool for rational decision-making in making choices with limited means and alternative options available, the functions of market self-regulation and the need for and nature of state intervention in the market mechanism; to be able to use methods for calculating the main financial indicators and to use financial terminology.
Course content
Introduction. The genesis of the scientific discipline. Subject, methodology and basic concepts of economic conditions. Study of business cycles and cyclical fluctuations in estimation and forecasting the state of international financial markets. The system of market factors and methods of their assessment. International financial markets. Concepts, system and principles of functioning of international financial markets. Factors of development and dynamics of the world currency market. The economic nature and role of interest rates in forecasting the state of international financial markets. Factors in the dynamics of international securities markets. World capital market: indicators and factors of development. The state of the European market and its impact on global financial flows.The global market for futures contracts: the scale and factors of development. Institutional mechanisms of influence on the state of international financial markets.
Recommended or required reading and other learning resources/tools
1. Фаренюк Н.В. Пайовий капітал у структурі заставних активів міжнародних інституційних інвесторів // Сучасні тенденції міжнародного руху капіталу. Монографія. / За ред. О.І.Рогача.-К.: «Центр учбової літератури», 2019.- 269с. -с. 234-253.
2. Фаренюк Н.В. Farenjuk N.The Specifics of Yuan’s Internationalization In The Debt Financial Instruments Markets./Actual Problems of International Relations: Актуальні проблеми міжнародних відносин: Зб. наук. пр. Вип. 139 (2019). К.: Київ. Національний ун-т ім. Т. Шевченка. ІМВ, 2019. – С. –107–114.
3. Основи міжнародних фінансів: підручник/за ред. О.І.Рогача.-2-е вид., доп.- К.: Видавничо-поліграфічний центр «Київський університет»,. – 2014.– 447 с. (Розділ 10, 22)
4. Фаренюк Н.В. Особливості сучасного стану регулювання банківської діяльності на світових фінансових ринках / Актуальні проблеми міжнародних відносин: Зб. наук. пр. Вип. 124. Ч.I – К.: Київ. національний ун-т ім. Т. Шевченка. ІМВ, 2015. – С. –121–131.
Planned learning activities and teaching methods
Lecture, seminar, independent work, solving individual practical tasks.
Assessment methods and criteria
Work on a seminar, including presentations of individual research. Writing independent works, including practical ones. Presentation of an individual report. Test . Solving practical problems according to given models. Final test work, which involves the protection of the study of the situation selected for analysis of the segment of international financial markets.
Seminar (max. – 29 points.), independent work (max. – 8 points.), presentation of the individual topic of the report (max. – 3 points.), test (test) (max. – 5 points.), solving practical tasks according to the given models (max. – 4 points.), final test (max. – 4 points.).
Language of instruction
Ukrainian
Lecturers
This discipline is taught by the following teachers
Chair of international finance
Educational and scientific institute of international relations
Educational and scientific institute of international relations
Departments
The following departments are involved in teaching the above discipline
Chair of international finance
Educational and scientific institute of international relations