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1.  
| Demonstrate an understanding of, and an ability to communicate, aspects of major financial decisions i.e. investment, finance & dividend. |
2.  
| Critically review and evaluate the key concepts of corporate finance. |
3.  
| Analyse capital investment projects and the methodologies to assess projects including Net Present Value (NPV), the Internal Rate of Return (IRR) and payback period. |
4.  
| Demonstrate an in-depth understanding of the concept of risk & return, the basic principles of portfolio theory and its application to security markets. |
5.  
| Critically review, evaluate and apply the capital Asset Pricing Model, standard deviation & probability theory to portfolio performance |
6.  
| Demonstrate an understanding of the importance of alternative capital structures and financing policies for organisations. |
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| Assessment Task | Value (of total mark) | Related Learning Outcome/s |
1.   |
Quiz - Multiple Choice Questions (30 minutes) |
10% |
1,2 |
2.   |
Mid Semester Test (20-50 questions) |
25% |
1,2,5 |
3.   |
Assignment (1500-3000 words) |
15% |
1,2,3,4,5,6 |
4.   |
Final Exam (closed book, 1.5 hours) |
50% |
1,2,3,4,5,6 |
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