Investment and Finance II 6015

Learning outcome

Students will gain an understanding of, and insight into, key issues in finance and investment. Key aspects of business finance and investment theory will be focused on. The students will also learn to apply finance theory to mergers and acquisitions, international finance and other topics.

Course Description

  • Valuation
  • Risk and return
  • Market efficiency
  • Debt-equity ratio and risk
  • Capital structure
  • Dividend policy
  • Purchases and sales of enterprises
  • International finance (valuation rate risk & governance, establishing overseas)
  • Options
  • Risk management

Assessment Methods

Written final examination, 4 hours.

Minor adjustments may occur during the academic year, subject to the decision of the Dean

Publisert av / forfatter Ian Harkness <Ian.HarknessSPAMFILTER@hit.no>, last modified Bergit Grivi - 07/12/2011