School of Management, Unit Catalogue 2011/12 |
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Credits: | 12 |
Level: | Honours (FHEQ level 6) |
Period: |
Academic Year |
Assessment: | CW 20%, EX 80% |
Supplementary Assessment: | Like-for-like reassessment (where allowed by programme regulations) |
Requisites: | Before taking this unit you must take MN10311 or take MN20026 |
Description: | Aims: The module aims to provide students with understanding of theories of financial markets, their suitability for risk assessment and financial decision making. Learning Outcomes: By the end of this unit, the student should be able to: * value assets and derivatives * assess and analyze investment risk * construct investment portfolios. Skills: Intellectual Skills * the facility to apply subject-specific knowledge into a range of complex situations; TFA * a critical awareness of current issues and frameworks in finance; F * the ability to acquire and analyse data, information and situations; to evaluate relevance and validity, and to synthesise it in the context of finance problems; FA * an understanding of appropriate research and methodological techniques that allow detailed investigation of problems and ability to use these skills to produce professional and critical reports. A Professional Practical Skills * evaluate the current standing of theories and empirical evidence and suggest improvements to them; TFA * operate effectively both independently as well as within teams and assume leadership roles where appropriate; FA * be self-directed and able to act autonomously in planning and implementing. F Transferable/Key Skills * ability to conduct in-depth research into finance problems. FA Personal/Interpersonal * the facility to communicate including presenting and marketing themselves and their ideas. FA Content: Asset pricing models, currency pricing, bond pricing, derivatives pricing, portfolio construction, portfolio management, risk management, current events. |
Programme availability: |
MN30380 is Optional on the following programmes:Department of Economics
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