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Master’s Thesis Defence

Major: Finance, Banking and Insurance
Code of Subject: 7.072.00.O.24
Credits: 3
Department: Finance
Lecturer: Alieksieiev I., Bondarchuk M., Khoma I., Shkvarchuk L., Kondrat I., Zhelizniak R.
Semester: 4 семестр
Mode of Study: денна
Learning outcomes:
- to know the theoretical and methodological base for making optimal management decisions in the financial sector and analysis at the level of enterprises, financial institutions, regional and state in market conditions;
- to know modern methods of research and practical work within the framework of selected issues of financial, credit, tax, investment, insurance activities.
- to be able to conduct individual scientific research of current issues of theory and practice of financial and economic relations with mandatory testing of practical recommendations for improving the efficiency of financial activity, financial organizations or their divisions; generalize and justify recommendations within the chosen research subject issues of improvement of business entities or macro level issues that affect financial results;
- be able to apply modern methods of financial management in the areas of economic and financial activity of entities; perform systematization and use of expertise, modern information technologies, methods of economic-mathematical modeling of financial and economic processes within the perspective of the research subject needed in professional activities.
Required prior and related subjects:
-Prerequest: financial management, budget management, financial services market.
- Corequest: Practice on the topic of master's thesis.
Summary of the subject:
Justification of relevance and theoretical framework of selected problem. Analysis and synthesis of theoretical and empirical research, financial analysis of the research object; analysis of research on the subject of work; SWOT-analysis; forecasting indicators of financial and economic activity. Justification of the use of economic and mathematical methods and models according to the theme for the applied financial and economic problems solution, the definition and selection of the best options for the economic development of the research object. Development of the recommended measures, the justification criterion final target level of financial and economic indicators; forming a system of measures and selection tools solve problems; assessing the impact of proposed activities (projects) on summary financial and economic results.
Recommended Books:
1) Алексеев И.В., Паранчук С.В. Проблемы налогового стимулирования и регулирования инновационной деятельности / Реформирование налоговых систем. Теория, методология и практика: монография / Под ред. И.А. Майбурова, Ю.Б. Иванова, А.И. Крисоватого. – К.: Кондор, 2011.
2) Основи методології та організації наукових досліджень: Навч. посіб. для студентів, курсантів, аспірантів / за ред. А. Є. Конверського. — К.: Центр учбової літератури, 2010. — 352 с.
3) Костіна Н.І. Моделювання фінансів / Н.І. Костіна, А.А. Алєксєєв, П.В. Мельник / Монографія. – Ірпінь: Академія ДПС України. – 2002. – 224 с.
4) Хома І.Б. Концепція оцінювання інвестиційної захищеності промислового підприємства: [Теоретико-методологічні основи інвестиційно-інноваційної безпеки національної економіки України: монографія] / за ред. чл.-кор. НАПН України, д.е.н., проф. І.М. Грищенка, д.е.н., проф. В.М. Узунова; д.е.н., проф. М.П. Денисенка. – К.: Видавництво «Маклаут», 2013. – 464 с.
5) Шкварчук Л. О.Фінансовий ринок: [навч. посібник] / Л. О. Шкварчук. – К.: Знання, 2013. – 382 с.
Assessment methods and criteria:
Master's thesis defense (100 points)