Skip to main content

Advanced Finance LI22SP (5 cr)

Code: C-02537-4_LIA5360-3006

General information


Enrollment
01.12.2024 - 15.01.2025
Registration for the implementation has ended.
Timing
06.01.2025 - 31.05.2025
Implementation has ended.
Number of ECTS credits allocated
5 cr
Local portion
5 cr
Mode of delivery
Blended learning
Institution
Savonia University of Applied Sciences
Teaching languages
English
Seats
0 - 1000
No reservations found for realization C-02537-4_LIA5360-3006!

Evaluation scale

Five step scale

Objective

The aim of this course is to enable students to develop deeper knowledge and skills in the field of finance. The students learn to obtain and refine financial data for analysis, to estimate key essential statistics parameters from data sets, to develop financial optimization models based on Modern Portfolio Theory and Capital Asset Pricing Model, and finally to construct an option's pricing simulation.

Methods of completion

Introductory lectures, specialized lectures, online demos.

Methods of completion

Completing a series of assignments mostly based on Excel.

Content

Risk and return relationship in financial context. Portfolio theory, financial assets allocation, and optimization. Black-Scholes Model for options pricing.

Materials

Reading material and other video demos are provided in Moodle. Participants are encouraged to seek different sources of knowledge to complete the assignments

Teaching methods

- Independent online course. - 100% online (Moodle) - The Moodle platform opens up for orientation and access on 06.01.2025. For to participate the course, the login is required by 31.01.2025 at the latest. - The course will be opened on 6.1.2025 and will be closed on 30.4.2025 at 11.55 pm. - Assessment will be registered by 31.05.2025.

Qualifications

Financial Management. Statistics and good Excel skills.

Go back to top of page