-
Presentation
Presentation
Provide students with knowledge on the functioning of the markets, portfolio management and assessment of financial assets and portfolios. Teaching portfolio management techniques with the purpose of providing students with theoretical and practical skills to make financial investments in a professional context, namely: Know the way how capital markets work; Build efficient portfolios; Select optimal portfolios; Evaluate financial assets; Evaluate asset portfolio management; Manage bond portfolios; Discuss the efficiency of markets.
-
Class from course
Class from course
-
Degree | Semesters | ECTS
Degree | Semesters | ECTS
Bachelor | Semestral | 5
-
Year | Nature | Language
Year | Nature | Language
3 | Mandatory | Português
-
Code
Code
ULHT72-3515
-
Prerequisites and corequisites
Prerequisites and corequisites
Not applicable
-
Professional Internship
Professional Internship
Não
-
Syllabus
Syllabus
1. Introduction 1.1. The choice between two alternatives in a world with multiple assets and risk 2. Capital Markets 2.1. The agents of the capital market 2.2. The operations of the capital market 2.3. The regulation of the capital market and the products traded in the capital market 2.4. The Efficiency of Capital Markets 2.5. Rationale of agents and the market 3. Theories of the portfolio and equilibrium models 3.1. Portfolio Theories 3.2. Capital Asset Pricing Model (CAPM) 4. Variable-income securities 4.1. Typology and Characteristics of Stocks 4.2. Stocks valuation 4.3. Rights Assessment 5. Fixed income securities 5.1. Typology and Characteristics of Bonds 5.2. Yield Curves 4.3. Bond¿s valuation 5.4. Interest Rate Risk Measures 5.5. Portfolio Management Strategies
-
Objectives
Objectives
Provide students with the necessary techniques for the analysis and evaluation of financial assets, in particular those related to bonds and stocks, previously addressing the methodologies of valuation and analysis of profitability and risk.
-
Teaching methodologies and assessment
Teaching methodologies and assessment
Elaboration of practical cases throughout the course. Availability of adapted real cases for elaboration by the students.
-
References
References
Guia do Investidor, Comissão do Mercado de Valores Mobiliários Elton, E. J., Gruber, M. J., Brown, S. J. and Goetzmann, W. N. (2014) Modern Portfolio Theory and Investment Analysis, 9th Edition, John Wiley & Sons; Ross, S. A., Westerfield, R. W., Jaffee, J. F. & Jordan B. (2022) Corporate Finance, 13th Ed., ISBN13: 9781260772388, McGraw-Hill Education Pires, Cesaltina (2013), Mercados e Instrumentos Financeiros, 3ª ed, Escolar Editora; Pinho, Carlos e Soares, Isabel (2018), Finanças - Mercados e Instrumentos, 3ª Ed., Edições Sílabo; Elementos de estudo distribuídos nas aulas (sebentas e casos práticos)
-
Office Hours
Office Hours
-
Mobility
Mobility
No