Course Objective:
The objective of this course is to enhance the practical knowledge of students related to international trade & Insurance.
Course Outcome (COs):
To enhance the practical knowledge of students related to portfolio Management & financial derivatives.
Course |
Learning outcome (at course level) |
Learning and teaching strategies |
Assessment Strategies |
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Paper Code |
Paper Title |
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FMG-618 |
Project Work |
CO232 To make student learn how to calculate payoff for various derivative strategies. CO233 To demonstrate rating methodology and ratings of various debt instruments by rating agencies. CO234 To make them learn models of valuation of fixed income securities CO235 To understand process involved in construction of portfolio. CO236 Demonstrate risk and return measurement for various asset class. |
Approach in teaching: Interactive Lectures, Discussion, Tutorials, Practical cases Demonstration, Power point presentation. Learning activities for the students: Self learning assignments, Effective questions, Seminar presentation, Live practical problems analysis |
Class test, Semester end examinations, Quiz, Solving problems in tutorials, Assignments, Presentation, Individual and group projects, Case Study Analysis |
Presentation/Discussion on Practical aspects of various strategies for pricing the derivatives
Presentation/Discussion on the Practical aspects of rating various financial instruments
Practical questions on /case study Valuation and Evaluation of various debt market instruments
Class discussion /Presentation and Discussion of relevance of Portfolio management
Discussion and Preparation/Presentation of Report on Risk and Investment