6 ECTS credits
153 h study time
Offer 2 with catalog number 4015151ENR for all students in the 2nd semester at a (E) Master - advanced level.
In this course the following topics will be covered: general valuation principle, valuation of bonds, stocks and investment projects with the calculation of net cashflows and equivalent annual cost; introduction to risk and return, portfolio theory and the Capital Asset Pricing Model, risk and the cost of capital; introduction to international finance with exchange risk management. Possibly, also a guest lecture will be organized about a theme to be announced.
N/A
The purpose of this course is to provide students a thorough understanding of the fundamental concepts and techniques in the areas of financial management and investment analysis.
The final grade is composed based on the following categories:
Written Exam determines 100% of the final mark.
Within the Written Exam category, the following assignments need to be completed:
(!) In accordance with the supplementary faculty regulations to article 8§3 of the Teaching and Examination Regulations, the examination in the first examination session for all students only takes place in the additional examination block, organized in the two weeks following the spring break.
This offer is part of the following study plans:
Master of Management: Standaard traject (only offered in Dutch)
Master of Mathematics: Financial and Applied Mathematics (only offered in Dutch)
Master of Physics and Astronomy: Minor Economy and Business