Міжнародна фінансова аналітика
Course: International economic relations (commerce and finance)
Structural unit: Educational and scientific institute of international relations
Title
Міжнародна фінансова аналітика
Code
ВБ 2.3
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
5
Learning outcomes
Understand the nature and structure of the financial market, the concept of risk-return. Know and understand the hypotheses of market price efficiency, mechanisms for setting the exchange rate and its basic theories, the specifics of the international foreign exchange market at the present stage.
Form of study
Prerequisites and co-requisites
Know the basics of international political economy, international investment management and the basics of the international financial market. Ability to understand the basic principles of functioning of individual segments of international financial markets and apply methods and tools to analyze their dynamics. Have basic skills in collecting and processing economic information, working with a significant amount of statistical and empirical data, while analyzing the results and applying critical thinking to synthesize their own conclusions and ideas.
Course content
Financial analytics, its place and importance in the system of social knowledge, modern international relations and business practice. Financial market. Return on investment. Hypothesis of market efficiency and the role of information in analytical activities. The essence and mechanism of setting the exchange rate. Exchange rate theories. Current state and principles of functioning of the foreign exchange market. Financial instruments as property titles. Fixed yield financial instruments. Stock market averages and indices. Theories of equilibrium of the capital market and the practice of its use. Technical analysis of international financial markets. Fundamental analysis of international financial markets. Discounting cash flows. Trend analysis. Construction of regression models.
Recommended or required reading and other learning resources/tools
1. Рогач, О.І., Дзюба, П.В. (2016). Міжнародні портфельні інвестиції : підручник.-950 с.
2. Рогач О.І., Дзюба П.В. (2011). Міжнародний інвестиційний менеджмент : підруч. [для студ. вищ. навч. закл.] – К. Видавничо-поліграфічний центр «Київський університет».-495 с.
3. Основи міжнародних фінансів: Підручник. (2014). За ред. Рогача О. К.: ВПЦ «Київський університет», 2-е вид., доп. – 442 с.
4. Brusov, P., et al. (2015). Modern corporate finance, investments and taxation. Berlin: Springer International Publishing.
5. Sokolowska, E. (2015). The Principles of alternative investments management: a study of the global market. Springer.
Planned learning activities and teaching methods
Lecture, individual work.
Assessment methods and criteria
Lecture attendance, participation in discussions – 10 points. Writing modular tests – 20+20=40 points. Exam – 40 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