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Høst 2018
BED-3043 Advanced Finance - 10 stp
The course is administrated by
Type of course
The course is reserved for program students and can not be taken as a single master subject.
The course requires the presence on the campus that provides instruction in the subject. The course is not suitable for students who can not attend lessons, group work and like.
Course contents
Objective of the course
Students who have successfully completed the course should have achieved the following learning outcomes:
Knowledge and comprehension:
- Knowledge of international finance, derivatives and credit risk, active management, efficient markets, behavioural finance, factor models and hedgefunds.
Skills:
- Be able to explain important topics and derive results in international finance, derivatives and credit risk, active management, efficient markets, behavioural finance, factor models and hedgefunds.
- Apply theoretical concepts and ideas to new areas.
Competence:
- The student should be able to develop independently their own competence and expertise in the field of international finance, derivatives and credit risk, active management, efficient markets, behavioural finance, factor models and hedgefunds. Moreover, he or she should be able to discuss central questions, analyses and conclusions pertaining to these topics.
Language of instruction
Teaching methods
Assessment
4-hour written exam, comprising 100% of the final course grade (A-F). Three obligatory submissions have to be approved to grant an access to the exam. Exam is held in Tromsø.
There will be arranged a re-sit exam for this course in Tromsø.
Date for examination
The date for the exam can be changed. The final date will be announced at your faculty early in May and early in November.