Teaching GuideTerm Faculty of Economics and Business |
Mestrado Universitario en Banca e Finanzas |
Subjects |
Risk Management and Analysis |
Learning aims |
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Identifying Data | 2019/20 | |||||||||||||
Subject | Risk Management and Analysis | Code | 611448004 | |||||||||||
Study programme |
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Descriptors | Cycle | Period | Year | Type | Credits | |||||||||
Official Master's Degree | 2nd four-month period |
First | Obligatory | 4 | ||||||||||
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Learning outcomes | Study programme competences / results | ||
Habilidades para percibi-las fontes de risco financiero. | AJ19 AJ20 |
BJ2 BJ5 BJ6 BJ11 BJ13 BJ14 BJ15 BJ16 BJ17 BJ18 BJ19 BJ20 BJ21 BJ22 BJ23 |
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Explotación de datos financieros e de mercado na análise e evaluación de riscos. | AJ19 AJ20 |
BJ2 BJ3 BJ4 BJ8 BJ11 BJ13 BJ24 BJ25 BJ26 BJ27 BJ28 |
CC3 |
Habilidades no emprego de recursos informáticos e baseados nas TIC. | BJ3 BJ4 BJ7 BJ10 BJ14 |
CC3 CC6 |
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Capacidade de aprendizaxe continua e autónoma utilizando a autoevaluación. | BJ7 BJ9 BJ10 BJ11 BJ12 BJ13 |
CC7 |
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Elaboración de diagnósticos financieros críticos y racionais. | BJ12 BJ13 |
CC6 |
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