International financial markets and banking

Course: International finance and investments

Structural unit: Educational and scientific institute of international relations

Title
International financial markets and banking
Code
ОК 06
Module type
Обов’язкова дисципліна для ОП
Educational cycle
Second
Year of study when the component is delivered
2021/2022
Semester/trimester when the component is delivered
1 Semester
Number of ECTS credits allocated
4
Learning outcomes
Know: concepts and terms of international financial markets; source base on the current state and directions of international banking; patterns of evolution of international financial markets; components and infrastructure of international financial markets; system of normative and institutional environment of international financial markets development; requirements for the organization of banks' activities according to international standards; mechanisms of functioning and tools of international financial markets; technology of international banking operations. Be able to: systematize the prerequisites and patterns of development of international financial markets; analyze the specific features and consequences of the development of international banking; analyze current trends in international financial markets; navigate in banking products, innovations, technologies, payment systems; analyze the regulatory and institutional environment for the development of international banking.
Form of study
Full-time form
Prerequisites and co-requisites
1.Know the theoretical and practical aspects of the organization and functioning of international financial markets and the main directions of development of international banking. 2.Be able to analyze the causes and consequences of current trends in the development of international financial markets and banking. 3.Have basic skills in finding and analyzing regulations, analytical materials and sources of statistics on the development of international financial markets and banking. 4.Knowledge of English or other foreign languages for better opportunities to get acquainted with the regulations governing the international financial markets and the activities of banking institutions
Course content
The world financial market and its development in the context pf globalization. The place and role of banks in international financial markets. Organization of international settlements and payments by banks. Activities of banks in international foreign exchange markets. International lending activities of banks. International investment activities of banks. International banking in offshore zones. Risks in international banking and ways to minimize them.
Recommended or required reading and other learning resources/tools
1. Ковальчук К.Ф. Міжнародні кредитно-розрахункові та валютні операції: навчальний посібник / К.Ф. Ковальчук, Д.Є. Козенков, Ю.Г. Момот. Київ: ЦУЛ, 2013. 150 c. 2. Кравець В.М., Кравець О.В. Західноєвропейський банківський бізнес: становлення і сучасність / За ред. В.І. Міщенка. Київ: Знання-Прес, 2003. 472 c. 3. Макогон Ю.В., Булатова Е.В. Международный банковский бизнес. Київ: Атика, 2003. 208 c. 4. Міжнародні розрахунки і валютні операції: навчальний посібник / Н. М. Чиж, Т. В. Божидарнік. Луцьк: РВВ ЛНТУ, 2010. 435 с. 5. Міжнародні фінанси: навчальний посібник / за ред. Ю.Г. Козака. Київ – Катовіце: ЦУЛ, 2014. 348 с. 6. Міжнародні фінанси: підручник / за ред. О.М. Мозгового. Київ: КНЕУ, 2016. 515 с. 7. Основи міжнародних фінансів: підручник / О.І. Рогач, Т.С. Шемет, С.А. Циганов та ін. Київ: ВПЦ “Київський університет”, 2014. 447 с.
Planned learning activities and teaching methods
Lecture, seminar, module test
Assessment methods and criteria
Answers at seminars – up to 40 points. Performing individual work – up to 20 points. Module test – up to 20 points. Credit test – up to 20 points.
Language of instruction
Ukrainian

Lecturers

This discipline is taught by the following teachers

Departments

The following departments are involved in teaching the above discipline