Semester:WS 14/15
Art:Vorlesung
Sprache:Englisch
Plansemester:1
Lektionen / Semester:16.0 L / 12.0 h
Selbststudium:48.0 h
Art:Vorlesung
Sprache:Englisch
Plansemester:1
Lektionen / Semester:16.0 L / 12.0 h
Selbststudium:48.0 h
Modulleitung/Dozierende
- Martin Blankenburg, MSc
(Externer Dozent)
- Markus Epple, MSc
(Externer Dozent)
- Bastian Teichgreeber, MSc
(Externer Dozent)
- Dr. rer. oec. Jurij-Andrei Reichenecker, MSc UZH ETH LL.M.
(Modulleitung)
- Mag. Ulrike Ebli-McKenna
(Co-Modulleitung)
Studiengang
Masterstudium Banking and Financial Management (01.10.2008)Module
Beschreibung
- Principles
- Time Value of Money
- Statistics and Probability Theory
- Sampling and Estimation
- Microeconomic Theory
- Macroeconomic Theory
- Monetary and Financial Policy
- Corporate Finance
- Financial Statement Analysis
- Finance
- Investments
- Portfolio Management
- Securities
- Equity Investments
- Fixed Income Investments
- Derivative Investments
- Alternative Investments
Lernergebnisse
- Summarising various concepts of economics, in particular finance
- Comparing analysis and management methods
- Putting oneself in the place of a professional investor
- Evaluating various financial market instruments
Kompetenzen
Lehrmethoden
Interactive lecture with cases
Literatur
Required reading:
- Brealey, R.A. /Myers, S. C. /Allen, F. (2008). Principles of Corporate Finance. Boston: Mc Graw-Hill
Recommended reading:
- Bodie, Z. /Kane, A. /Marcus, A.J. (2008): Investments (Seventh Edition). Boston: Mc Graw-Hill.
- CFA Institute (2008). 2009 Level 1 December Exam Curriculum. Boston: Pearson.
Arbeitsmaterial
Lecture slides, exercises, sample questions will be available on Moodle
Prüfungsmodalitäten
- Written examination with 60 minutes editing time (40%)
- Obligatory class participation
Kommentar
This lecture also serves as a preparatory course for the CFA Level 1 examination.
Termine
Datum | Zeit | Raum |
19.09.2014 | 09:00 - 16:30 | H4 |
20.09.2014 | 09:00 - 16:30 | H4 |