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Undergraduate - Учебный план

Опубликовано на портале: 30-01-2003
Год: Spring 2003
Язык: Английский
Тематические разделы: Экономика, Финансовая экономика

Aннотация:
Программа "Undergraduate" Школы Менеджмента университета Миннесоты содержит 10 учебных курсов, описание которых приведено ниже.



FINA 3001. FINANCE FUNDAMENTALS.
(2 cr; prereq OMS1550 or ACCT2050)
Introduction to financial management principles. Includes a brief survey of securities markets, time value of money, applied valuation for stocks and bonds, capital basics, net present value, introduction to risk and return, cost of capita, and financial leverage.


FINA 3111. FINANCE FUNDAMENTALS.
(2 cr; prereq CLA Minor)
This course provides an introduction to financial management principles.  Topics addressed include a brief survey of securities markets, time value of money, applied valuation for stocks and bonds, capital budgeting basics, net present value, introduction to risk and return, cost of capital and financial leverage.


FINA 4121. FINANCIAL MARKETS AND INTEREST RATES.
(2 cr; prereq FINA 4241 or BFIN 3100)
Develops the basic framework for valuing fixed income securities. Develops an in depth understanding of the term structure of interest rates, forward rates, and the principles of fixed income valuation. Also includes a survey of the Treasury, Corporate, Municipal and Securitization markets.


FINA 4122. BANKING INSTITUTIONS.
(2 cr; prereq FINA 4241, FINA 4121 or BFIN 3200)
The management of banking institutions including commercial banks and thrifts. This course features a combination of theory and practice in banking. Specific topics: asset management, liability management and capital management. As time allows, some public policy issues in banking will also be considered.


FINA 4241. CORPORATE FINANCING DECISIONS.
(4 cr; prereq FINA 3001, or BFIN 3000)
Develops a theoretical and applied understanding of corporate financial decisions. Topics include efficient markets, financing decisions, tax effects, managerial incentives, investment banking, the effect of financing issues on investment decisions, and basic options.


FINA 4242. CORPORATE INVESTMENT DECISION.
(4 cr; prereq FINA 4241 or BFIN 3100)
Focuses on efficiently managing net working capital and real assets. Includes cases to illustrate some of the topics, which include: working capital management, making capital budgeting decisions, targeting and evaluating firm performance, and assessing mergers and acquisitions.


FINA 4321. PORTFOLIO MANAGEMENT AND PERFORMANCE EVALUATION.
(2 cr; prereq FINA 4241 or BFIN 3100)
Introduces the investment environment and the concepts used to manage security portfolios. Topics include an introduction to portfolio and security risk and return tradeoffs, portfolio diversification, asset allocation, active portfolio management versus indexed portfolios, and portfolio performance evaluation.


FINA 4322. SECURITY ANALYSIS.
(2 cr; prereq FINA 4241, FINA 4321 or BFIN 3300)
Valuation of equity securities with careful attention to basic valuation principles. Attention is given to the relationship between the various valuation approaches. Develops and applies tools for the student to test self designed security selection rules.


FINA 4541. FUTURES, OPTIONS AND OTHER DERIVATIVES.
(4 cr; prereq FINA 4241, FINA 4121, FINA 4321 or BFIN 3100, BFIN 3200, BFIN 3300 )
Exposes students to some of the most sophisticated financial instruments available. Topics will include background in the foundations of stochastic cash flow representations, constructing portfolios of futures and options to meet investment objectives, basic methods for valuing real and financial futures, swaps and options.


FINA 4641. INTERNATIONAL FINANCE AND RISK MANAGEMENT.
(4 cr; prereq FINA 3001 BFIN 3000)
This course provides a survey of macroeconomics policies in emerging markets and developed countries as an introduction to the international dimensions of corporate financing, investment and risk management decisions. Topics include exchange rates, interest rate parity, trade deficit/surplus, international capital markets, cost of capital in emerging economies and measuring and managing currency risk.


http://www.csom.umn.edu/FacultyDepartmen...
ng20 03C oursesinFinance/Spring2003CoursesinFinance.cfm#FINA3001

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См. также:
Н.Н. Асташова
Вопросы экономики и права. 2010.  № 11. С. 9-13. 
[Статья]
[Интернет-ресурс]
Harold Jr. Bierman, Seymour Smidt
[Книга]
Merton H. Miller, Kevin Rock
Journal of Finance. 1985.  Vol. 40. No. 4. P. 1031-1051. 
[Статья]
Benjamin F. King
Journal of Business. 1966.  Vol. 39. No. 1. P. 139-190. 
[Статья]
Uwe E. Reinhardt
Journal of Finance. 1973.  Vol. 28. No. 4. P. 821-838. 
[Статья]