A compulsory course of the second semester of the Master’s Programme “Banking-Insurance and Finance”.
Course details
- Code: MBAF11
- Semester: 2nd
- Credits: 5 ECTS
- Teaching hours: 2 per week (lectures and practical exercises)
- Course type: Specialisation Course (ME)
- Prerequisites: none
- Language of teaching and examinations: Greek and/or English
- Offered to Erasmus students: yes, upon relevant request
- Mode of delivery: distance learning, synchronous and asynchronous
- Total workload: 150 hours
- Taught by: Nikolaos Sariannidis
General competences
With a complete theoretical grounding and the acquisition of specific knowledge and skills, the student is expected to be capable of:
- Analysing and synthesising economic and financial data
- Drawing up reports on the state and course of the money markets
- Taking investment decisions
- Preparing financial studies and research
Syllabus
- Money markets
- Money market products
- Capital markets — bonds
- Valuation of bonds
- Capital markets — the stock exchange
- Commodity and derivatives markets
- Options
- Option strategies
- Valuation of options
- Short selling
- Foreign exchange
- Applications
Assessment
Assessment is carried out in two ways: the preparation of assignments, counting for up to 30% of the total mark — the structure and presentation of the text, the quality of the analysis and the bibliographical references are taken into account above all — and a written final examination, counting for 70%. Language of assessment: Greek.
Full course outline
Founding Government Gazette (FEK), Article 6 · Course Outlines of the Programme · Nominal list of teaching staff, March 2025.
