University of Liege | Version française
Study programmes 2007-2008Last update : 7/05/2008
GEST0832-3  Financial Markets
Duration :  30h Th
Credits/ECTS :  
Bachelor in management sciences, 2nd yearDeuxième quadrimestre3
Holder(s) :  Danielle Sougné
Language :  Langue française
Course contents :  PART 1 : TYPOLOGY OF FINANCIAL MARKETS
PART 2 : EQUITY MARKETS
A : CHARACTERISTICS
B : NOTIONS OF RETURNS
C : RISK AND RETURN RELATIONSHIPS
D : NOTIONS OF PORTFOLIO MANAGEMENT
PART 3 : DEBT MARKETS
A : CHARACTERISTICS
B : NOTIONS OF RETURNS
C : RISK AND RETURN RELATIONSHIPS
D : NOTIONS OF PORTFOLIO MANAGEMENT
PART 4 : DERIVATIVES MARKETS
A : CHARACTERISTICS
B : RISK AND RETURN RELATIONSHIPS
C : NOTIONS OF PORTFOLIO MANAGEMENT
Course objective :  To provide an introduction to the mechanics and economic characteristics of financial markets. The course proposes a typology of financial markets, then analyses equity, debt and derivatives markets. The goal is to show how prices are set on these markets, what are the relevant dimensions of risk and how market agents manage their exposures on these different markets. This course serves as a basis for almost all subsequent advanced finance courses in corporate finance, portfolio management, banking and derivatives
Prerequisites :  None
Organization :  Lectures (20h)
Exercice sessions (10h)
Written notes :  Recommended :
Broquet, Cobbaut, Gillet & Van den Berg, Gestion de Portefeuille (4ème edition), De Boeck
Bodie, Kane & Marcus, Investments, Irwin
Assessment :  Written exam, 1st and 2nd exam session
Contacts :  Teacher:

D.Sougné

04/232.72.11

e-mail :danielle.sougne@ulg.ac.be


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