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Economics of Financial Institutions

Major: Enterprise Economics
Code of Subject: 7.051.01.M.16
Credits: 5
Department: Business Economics and Investment
Lecturer: associate professor Kryvtsun Iryna Myroslavivna
Semester: 2 семестр
Mode of Study: заочна
Learning outcomes:
The student must be suitable:
? to make a decision at the financial institutions' activity;
? to analyze and to value of financial institutes portfolio;
? to make an analysis of financial indexes and obligatory norms at the activity of the financial institutions;
? to interpret the rating value of financial institutions;
? to analyze the preferences and the deficiencies of the cooperation at the financial market;
? to determine the level of risk of activity of financial institutions and develop the corresponding measures of management;
? to develop a strategy of financial institutions and to value its efficiency;
? to apply of the system approach at recommending of the improvement the financial institutes' activity, using corresponding methodological instruments and an informative securing
Required prior and related subjects:
The before and simultaneously needed module:
Before: “Enterprise Economics”, "Investment"
Simultaneous: "Financial Activity of Enterprise"

Summary of the subject:
The structure of the financial market. The legislation that regulates the activity at the financial market in Ukraine. The operations of the bank and their classification. The services of the insurance companies and pension funds. The activity of investment companies and funds. The cooperation of subjects at the financial market. The analysis and the value methodology of bank-, insurance- and investment companies’ activity. The risks management in the activity of financial institutes.
Recommended Books:
1. Операції банківських установ: тренінг/ за заг. ред. Т.П.Остапишин. – К.: КНЕУ, 2013. – 956 с.
2. Операції комерційних банків / Р.Коцовська, В. Ричаківська, Г.Табачук та ін. – 3-тє вид. – К.: Алеута; Львів: ЛБІНБУ, 2003. – 500с.
3. Основи актуарних розрахунків: Навч.-метод. Посібник / За ред. чл. Укр. товариства актуаріїв І.О.Ковтуна. – К.: Алерта, 2004. – 328 с.
4. Страхування: підручник / Н.В. Ткаченко. – К.: УБС НБУ, 2014. – 570 с.
Assessment methods and criteria:
current control (30 %), test (70 %)