Semester:WS 14/15
Art:Modul
Sprache:Englisch
ECTS-Credits:5.0
Plansemester:1
Lektionen / Semester:44.0 L / 33.0 h
Selbststudium:117.0 h
Art:Modul
Sprache:Englisch
ECTS-Credits:5.0
Plansemester:1
Lektionen / Semester:44.0 L / 33.0 h
Selbststudium:117.0 h
Modulleitung/Dozierende
- Mag. Ulrike Ebli-McKenna
(Co-Modulleitung)
- Dr. rer. oec. Jurij-Andrei Reichenecker, MSc UZH ETH LL.M.
(Modulleitung)
Studiengang
Masterstudium Banking and Financial Management (01.10.2008)Lehrveranstaltungen
Beschreibung
- Financial Decision Theory
- Capital Market Models and Evaluation on Complete Markets
- Portfolio Management
- Critique of the Expected Utility Theory
- Prospect Theory
- Kinds and Consequences of Heuristic Distortion
- Framing
- Momentum und Contrarian Strategies
- Technical Analysis
Ziele
After completion of the module, the students are able to evaluate assets by means of various models and to illustrate investment procedure. They thereby draw on current knowledge of capital market research and can show suggestions for solutions while integrating their theoretical knowledge. Events on the capital market are critically scrutinised in discussions with instructors and fellow students.
Kompetenzen
Lehrmethoden
Interactive lecture, exercises
Voraussetzungen (inhaltlich)
None
Prüfungsmodalitäten
- Written examination with 120 minutes editing time (100%)
- Obligatory class participation
Beurteilung
Web-based online evaluation upon completion of module
Prüfungen
- PWW-MA_Financial Theory (SS 15, bewertet)
- PWW-MA_Financial Theory (WS 14/15, bewertet)