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(in Polish) Finanse i rynki kapitałowe w praktyce

General data

Course ID: 2400-PPMG008
Erasmus code / ISCED: 14.3 Kod klasyfikacyjny przedmiotu składa się z trzech do pięciu cyfr, przy czym trzy pierwsze oznaczają klasyfikację dziedziny wg. Listy kodów dziedzin obowiązującej w programie Socrates/Erasmus, czwarta (dotąd na ogół 0) – ewentualne uszczegółowienie informacji o dyscyplinie, piąta – stopień zaawansowania przedmiotu ustalony na podstawie roku studiów, dla którego przedmiot jest przeznaczony. / (0311) Economics The ISCED (International Standard Classification of Education) code has been designed by UNESCO.
Course title: (unknown)
Name in Polish: Finanse i rynki kapitałowe w praktyce
Organizational unit: Faculty of Economic Sciences
Course groups:
ECTS credit allocation (and other scores): (not available) Basic information on ECTS credits allocation principles:
  • the annual hourly workload of the student’s work required to achieve the expected learning outcomes for a given stage is 1500-1800h, corresponding to 60 ECTS;
  • the student’s weekly hourly workload is 45 h;
  • 1 ECTS point corresponds to 25-30 hours of student work needed to achieve the assumed learning outcomes;
  • weekly student workload necessary to achieve the assumed learning outcomes allows to obtain 1.5 ECTS;
  • work required to pass the course, which has been assigned 3 ECTS, constitutes 10% of the semester student load.

view allocation of credits
Language: Polish
Type of course:

Master's seminars

Prerequisites (description):

Medium level of knowledge on microeconomics, macroeconomics, statistics.

Short description:

The aim of the MA seminar is to familiarize students with a variety of features of financial markets (money market, stock exchanges, FX markets, commodity markets) and financial institutions (banks, insurance companies, investment funds) and preparation of a dissertation confirming theoretical, practical and scientifical abilities of participants. The aim of the seminar is to prepare students for scientific research, bibliographical queries and preparation of MA dissertation. Final effect of conducted research and analyzed literature will be preparation of a very good MA dissertation

Full description:

During the seminar we will discuss features of finacial and capital markets (FX markets, stock markets, bond markets, derivatives markets, commodities markets). Theoretical and practical aspects of modern market activities, instruments, institutions and operations will be presented. Students will learn about analytical methods and empirical approaches.

Subjects of MA dissertations can cover topics on stock exchanges, OTC markets, derivative markets, behaviours of market players (behavioral finance), consolidation processes on financial markets, transformation of international capital markets financial services, economical impact of capital account liberalisation, banking and capital systems integration, banking, currency and financial crises, banking efficiency, financial development and economic growth.

Bibliography:

Current and most important publications about financial and capital markets and banking.     

Learning outcomes:

Interest on different aspects of financial and capital markets. Preparation of a very good MA dissertation.

KW01, KW02, KW03, KU01, KU02, KW03, KK01, KK02, KK03

Assessment methods and assessment criteria:

First semester -presentation based on received materials, list of contents, bibliography. Second semester - consecutive parts of MA dissertation.

This course is not currently offered.
Course descriptions are protected by copyright.
Copyright by University of Warsaw.
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00-927 Warszawa
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