Rahoitus ja riskienhallinta (KD2002), 3 op
Basic information
Course name: | Rahoitus ja riskienhallinta Finance and Risk Management |
Course Winha code: | KD2002 |
Kurre acronym: | |
Credits: | 3 |
Type and level of course: | Professional studies |
Year of study, semester or study period: | 2.year |
Implementation: | Spring semester, 3.period, 4.period |
Semester: | 0708 |
Language of tuition: | Suomi |
Teacher: | Elisabeth Schauman |
Final assessment: | Grading scale (0-5) |
Descriptions
Prerequisites
KD1001 Yrityksen kannattavuus ja rahoitus
Course contents (core content level)
The sources of finance, Equity and debt, Mezzanine financing, The financial markets, Time-value of money, Investment calculations, Working capital, The risk-return trade-off, Risk-management, Finance terminology
Course contents (additional)
The basics of portfolio theory, The required return on investments
Core content level learning outcomes (knowledge and understanding)
After completing the course the students will understand the basics of financial theory and will be able to evaluate financial information from different sources. The students will be able to apply fundamental financial theories in practice. The students will understand basic financial terminology.
Core content level learning outcomes (skills)
The students will be able to evaluate information from different sources. The students will be able to do calculations and evaluate the risk and the return.
Recommended reading
Knüpfter, Puttonen 2004: Moderni rahoitus. WSOY . Specified chapters.
Martikainen & Martikainen 2006: Rahoituksen perusteet. WSOY. Specified chapters.
Suomen Finanssialan Keskusliiton julkaisu: Suomen rahoitusmarkkinat (www.fkl.fi)
Teaching and learning strategies
Lectures, literature, assignments, exam
Teaching methods and student workload
Exam
Lectures and assignments
Self-study
Assessment weighting and grading
Exam (100%)
Related competences of the degree programme
Personal development
Application of business skills