MBAF 509 is a two-credit finance course that aims at preparing students with a good theoretical foundation of global financial markets and their implications in real-life situations. This course is designed to equip students with a thorough understanding of the key concepts, theories, and practices involved in global financial management. Throughout the course, students will learn about national and international financial markets, the role of governments in financial markets, credit rating agencies and their role in financial markets, investment banking firms, financial assets and risk management, primary and secondary markets, global funding markets, financing markets for SMEs
Find attached the textbook:
Fabozzi, F. J., & Jones, F. J. (2019). Foundations of Global Financial Markets and Institutions. Massachusetts, USA: MIT Press.