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Presentation
Presentation
This course aims to provide students with knowledge to interpret concepts, theories and policies associated with the functioning of markets and financial instruments, in order to allow effective management risks inherent to the activity.
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Class from course
Class from course
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Degree | Semesters | ECTS
Degree | Semesters | ECTS
Bachelor | Semestral | 5
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Year | Nature | Language
Year | Nature | Language
3 | Mandatory | Português
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Code
Code
ULP292-10549
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Prerequisites and corequisites
Prerequisites and corequisites
Not applicable
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Professional Internship
Professional Internship
Não
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Syllabus
Syllabus
Module I - An Overview of Financing the Economy and the Financial System Module II - Intermediation and Financial Institutions Module III - The Problem of Risk and its Management Module IV - Foreign Exchange Market Module V - Derivatives Market: Futures and Options
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Objectives
Objectives
To stimulate critical reflection through the analysis and resolution of practical cases and the accomplishment of individual and in group.
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Teaching methodologies and assessment
Teaching methodologies and assessment
Problem-based-learning.
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References
References
HULL, C. - Introduction to Futures and Options Markets. Second Edition. New Jersey: Prentice-Hall International Editions, 1995. BREALEY, R. A.; MYERS, S. C. - Princípios de Finanças Empresariais. 3ª Edição. McGraw-Hill, 1990.
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Office Hours
Office Hours
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Mobility
Mobility
No