Aims:
This module provides an understanding of the key practices, theories and concepts of economics, finance, banking, business and financial forecasting, corporate finance, and behavioral finance in a condensed and practical manner. Real-world practical insights and academic rigor in this module can open up a wide range of career opportunities and distinctions for attendees.
Contents:
- Financial Reporting Systems
- Financial Statements
- Financial Ratios
- Compounding and Discounting
- Financial decision-making under certainty and uncertainty
- Portfolio analysis, Market equilibrium and Arbitrage in Asset pricing
- Liquidity and Solvency Analysis
- Economic models of bank behavior