Module Catalogues, Xi'an Jiaotong-Liverpool University   
 
Module Code: ACF317
Module Title: Investments
Module Level: Level 3
Module Credits: 5.00
Academic Year: 2019/20
Semester: SEM1
Originating Department: International Business School Suzhou
Pre-requisites: ACF212
   
Aims
The aim of this module is to provide students with a thorough understanding of the theory and practice behind portfolio theory. In this perspective, the module is structured on the construction, maintenance, management, and evaluation of investments portfolios. A wide range of topics are covered, including equity, bond, and international investments.
Learning outcomes 
A Be able to discuss, illustrate, and critically analyse the contending theories of portfolio management.

B Have a practical understanding of the assessment of portfolio performance.

C Be able to choose between investments and tailor financial portfolios to predetermined criteria.

D Be able to deal with practical issues in the investment process.

Method of teaching and learning 
Lectures: Theories of portfolio management, as well as practical cases will be taught during lectures. Tutorials: Beyond lectures, student will be asked to apply theory to practical cases in tutorials. After preparing investments simulations in advance , students will be asked to present their work during tutorials.
Syllabus 
• Financial market mechanisms and participants

• Portfolio theory and practice

• Portfolio performance analysis and management

• Asset valuation

• Contending theories in financial analysis
Delivery Hours  
Lectures Seminars Tutorials Lab/Prcaticals Fieldwork / Placement Other(Private study) Total
Hours/Semester 26    7      117  150 

Assessment

Sequence Method % of Final Mark
1 Analysis Report 15.00
2 Final Exam 70.00
3 Group Presentation 15.00

Module Catalogue generated from SITS CUT-OFF: 6/3/2020 1:54:53 AM