ECTS - Master of Finance (Non-Thesis)

Compulsory Departmental Courses

FNCE598 - Term Project (0 + 0) 40

Definition of a problem or subject of scientific quality, data collection, data analysis, discussion and presentation of the results in an orderly fashion appropriate to scientific guidelines

Elective Courses

SBE-FNCE-T-AE1FA1 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-AE1FA2 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-AE1FA3 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-AE1FA4 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-AE1FA5 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-AE1FA6 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-AE1FA7 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-AE1FA8 - Departmental Elective (0 + 0) 5

SBE-FNCE-T-GE1FA10 - Non-Departmental Elective (0 + 0) 5

SBE-FNCE-T-GE1FA9 - Non-Departmental Elective (0 + 0) 5

Technical Elective Courses

ECON505 - Macroeconomics (3 + 0) 5

National income accounting, aggregate supply and demand, first models, behavioral foundations.

FNCE504 - Financial Management (3 + 0) 5

Methods for optimal decisions on the main issues of finance namely, investments, capital structure and working capital management, firm value maximization.

FNCE505 - Securities and Portfolio Management (3 + 0) 5

Trade-off between risk and return, optimal portfolio selection, portfolio management, asset pricing models, derivative instruments, construction and management of optimal portfolios.

FNCE507 - International Finance (3 + 0) 5

Investment, financing and risk management, international investment and financing techniques, management of exchange rate risk and interest rate risk and the instruments.

FNCE508 - Financial Analysis (3 + 0) 5

Analysis and interpretation of financial statements and financial analysis techniques such as comparative analysis, vertical analysis, trend analysis and ratio analysis.

FNCE510 - Investment Project Analysis (3 + 0) 5

Conceptual basics of investment projects, main analysis in project development, project evaluation, risk analysis in project evaluation, other profitability and economic analysis.

FNCE511 - The Law of Finance (3 + 0) 5

The effects of legislative regulations on financial institutions and on the operations of those financial institutions, banking finance, banking act, debt contracts, share issues, individual finance, corporate finance, mergers and acquisitions.

FNCE512 - Tax Law for Businesses (3 + 0) 5

General rules of tax law, taxation process, tax evasion and penal provisions, income tax, corporate tax, value added tax.

FNCE513 - Risk Management (3 + 0) 5

Financial risk and the sources of risk, calculation and management of portfolio risk, exchange rate, interest rate and credit risk, traditional risk management methods, risk management instruments.

FNCE514 - Accounting Theories and Standards (3 + 0) 5

The appropriate accounting system, book keeping systems, the contents and the format of the financial statements, the valuation problems, comparison of various accounting standards.

FNCE515 - Managerial Accounting (3 + 0) 5

Collection, analysis and interpretation of financial information, planning and controlling functions, cost-volume-profit analysis, incremental analysis and budgeting.

FNCE516 - New Financial Instruments and Accounting Applications (3 + 0) 5

Accounting of derivative instruments suchs as swaps, options, futures and forwards in light of the the legislative regulation that should be followed during the accounting process.

FNCE516 - New Financial Instruments and Accounting Applications (3 + 0) 5

Accounting of derivative instruments suchs as swaps, options, futures and forwards in light of the the legislative regulation that should be followed during the accounting process.

FNCE517 - Financial Markets (3 + 0) 5

Financial markets, institutions, bond markets, exchange markets, money markets and derivative markets.

FNCE518 - Financial Econometrics (3 + 0) 5

The use of statistical techniques and econometric theory in the solution of financial problems, building financial models, estimation of volatility, capital asset pricing, portfolio allocation, risk adjusted returns.

ISL555 - Research Methods (3 + 0) 5

Research designs, probability theories, hypothesis tests, reliability and validity of measurement, model construction, multiple regression, multivariate variance analyses, correlation, exploratory and confirmatory factor analysis and econometric models.