International financial markets, corporate governance, the time value of money, capital asset pricing models, and financial planning and risk management.
International financial markets, corporate governance, time value of money, valuation methods, financial derivatives and instruments.
|Paper title||Investment and Global Financial Markets|
|Points||15 points 15 points 15 points|
|Teaching period(s)||3rd Non standard period (11 June 2018 - 3 August 2018), 5th Non standard period (15 October 2018 - 7 December 2018), 1st Non standard period (30 July 2018 - 14 September 2018)|
|Domestic Tuition Fees (NZD)||$2,143.25|
|International Tuition Fees (NZD)||$2,805.00|
- Limited to
- DipBusAdmin, MBA, PGDipHealMgt, MHealSc
- Teaching staff
- Convenor: Susan Steer
- Course Reader
- Graduate Attributes Emphasised
- Global perspective, interdisciplinary perspective, lifelong learning, communication,
critical thinking, ethics, information literacy, research, self-motivation, teamwork.
View more information about Otago's graduate attributes.
- Learning Outcomes
- Students will develop a robust understanding of:
- Corporate governance
- Time value of money
- Markowitz diversification
- Capital asset pricing model (CAPM)
- Net present value vs. internal rate of return (NPV vs. IRR)
- Weighted average cost of capital
- Gordon dividend discount model
- Agency costs
- Real options
- Financial planning
- Risk management