Academic Year |
2024Year |
School/Graduate School |
School of Economics Economics Evening Course |
Lecture Code |
G8270200 |
Subject Classification |
Specialized Education |
Subject Name |
金融論 |
Subject Name (Katakana) |
キンユウロン |
Subject Name in English |
Money and Banking |
Instructor |
SENDA TAKASHI |
Instructor (Katakana) |
センダ タカシ |
Campus |
Higashi-Senda |
Semester/Term |
2nd-Year, Second Semester, Second Semester |
Days, Periods, and Classrooms |
(2nd) Mon13-14:Higashi-Senda Lecture Rm M304 |
Lesson Style |
Lecture |
Lesson Style (More Details) |
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Lecture |
Credits |
2.0 |
Class Hours/Week |
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Language of Instruction |
J
:
Japanese |
Course Level |
2
:
Undergraduate Low-Intermediate
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Course Area(Area) |
24
:
Social Sciences |
Course Area(Discipline) |
03
:
Economics |
Eligible Students |
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Keywords |
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Special Subject for Teacher Education |
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Special Subject |
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Class Status within Educational Program (Applicable only to targeted subjects for undergraduate students) | |
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Criterion referenced Evaluation (Applicable only to targeted subjects for undergraduate students) | Economics and Management (Knowledge and Understanding) ・Basic knowledge of economic analysis |
Class Objectives /Class Outline |
Introduction to Money and Banking. Lecture on the first half of the textbook. |
Class Schedule |
lesson1 Valuing Monetary Payments Now and in the Future: Future Value an Compound Interest, Present Value lesson2 Applying Present Value: Internal Rate of Return, Bonds(The Basics) lesson3 Real and Nominal Interest Rates lesson4 Measuring Risk lesson5 Reducing Risk through Diversification lesson6 Bond Prices, Bond Yields lesson7 The Bond Market and the Determination of Interest Rates, Why Bonds Are Risky lesson8 The Risk Structure of Interest Rates lesson9 The Term Structure of Interest Rtaes lesson10 The Essential Characterristics of Common Stock, Measuring the Level of the Stock Market lesson11 Fundamental Value and the Dividend-Discount Model lesson12 Why Stocks Are Risky, Risk and the Value of Stocks, The Theory of Efficient Markets lesson13 Adverse Selection in Financial Markets lesson14 Moral Hazard in Financial Markets lesson15 Depository Institutions: Banks and Bank Management |
Text/Reference Books,etc. |
Money, Banking and Financial Markets, Stephen Cecchetti and Kermit Schoenholtz, McGraw-Hill/Irwin; 6th edition, 2021. |
PC or AV used in Class,etc. |
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(More Details) |
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Learning techniques to be incorporated |
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Suggestions on Preparation and Review |
The most crucial exam preparation is to review lecture notes. |
Requirements |
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Grading Method |
final exam 100% |
Practical Experience |
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Summary of Practical Experience and Class Contents based on it |
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Message |
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Other |
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Please fill in the class improvement questionnaire which is carried out on all classes. Instructors will reflect on your feedback and utilize the information for improving their teaching. |