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Financial Economics

Code 16301
Year 1
Semester S2
ECTS Credits 6
Workload TP(30H)
Scientific area Economics
Entry requirements N.A.
Learning outcomes - To enable students to apply economic theory to assess how time, risk (uncertainty), opportunity cost and information can create incentives or disincentives for a decision in financial markets.
- To enable students to use models of economic behaviour in financial markets.
- To provide students with an understanding of how financial markets work.
- To encourage the development of the necessary analytical skills in financial economics.
Syllabus 1. Financial markets: micro and macro realities
1.1 Market Efficiency
1.2 Determination of prices
1.3 Forecast in financial markets
2. Interaction between financial markets: national and international perspective
2.1 Bond markets, Foreign exchange markets, Commodity markets
2.2 Choosing optimal investment portfolios (utility theory in financial markets); Portfolio management in the long run
2.3 Derivative Markets and investment funds
2.4 Monetary policy and financial markets
2.5 The banking sector and financial markets
3. Choose the optimal capital structure and dividend policy
3.1 The mix of sources of capital and cost of funding sources
3.2 Empirical determinants in the choice of capital structure
4. New theories in finance and economics
4.1 The behavioral and experimental field: recent applications to financial markets
4.2 Financial equilibrium with differential information
Main Bibliography Danthine, J.-P., Donaldson, J.B., 2014. Intermediate Financial Theory, 3rd Edition, Academic Press
LeRoy, S.F., Werner, J., 2014. Principles of Financial Economics, 2nd Edition, Cambridge University Press
Ceccheti, S., Schoenholtz, K., 2015. Money, Banking and Financial Markets, 4th edition, McGrawHill/Irwin.
Damodaran, A., 2012. Investment Valuation, 3rd Edition, Wiley and Sons.
Hull, J.C., 2011. Options, Futures and Other Derivative Securities, 8th edition, Prentice-Hall.
Kettell, B., 2002. Economics for Financial Markets: A volume in Quantitative Finance, ISBN: 978-0-7506-5384-8; http://www.sciencedirect.com/science/book/9780750653848
Viney, C., Phillips, P., 2012. Financial Institutions, Instruments and Markets, McGrawHill.
Language Portuguese. Tutorial support is available in English.
Last updated on: 2024-03-12

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