AI Mode - Bachelor of Science in Financial Economics AI Mode - Bachelor of Science in Financial Economics
AI Mode

Bachelor of Science in Financial Economics

Select a unit, preview the smart outline, then start an interactive AI classroom walkthrough.

Set AI Teaching Mode

Classroom Flow

1
Choose a unit
Pick what you want to learn now.
2
AI guides the lesson
Step-by-step explanations with checkpoints.
3
Raise hand for questions
Ask anytime, get clarification, continue learning.

Course Outline

10 sections
1. Financial Accounting
100 mins
10 topics
Introduction to Financial Accounting Accounting Equation and Transactions Recording Financial Transactions Adjusting Entries and the Trial Balance Financial Statements Preparation
2. International Finance
100 mins
10 topics
Overview of International Finance Foreign Exchange Markets Balance of Payments International Monetary System Foreign Direct Investment (FDI)
3. Corporate Finance
100 mins
10 topics
Introduction to Corporate Finance Financial Statements Analysis Time Value of Money Capital Budgeting Cost of Capital
4. Financial Markets and Institutions
100 mins
10 topics
Introduction to Financial Markets Types of Financial Institutions Stock Market Operations Bond Market and Fixed Income Securities Foreign Exchange Market
5. Introduction to Financial Economics
90 mins
9 topics
Overview of Financial Economics Time Value of Money Risk and Return Capital Budgeting Financial Markets and Instruments
6. Microeconomics for Finance
100 mins
10 topics
Introduction to Microeconomics Utility Theory Production and Cost Analysis Market Structures Pricing Strategies
7. Macroeconomics for Financial Markets
100 mins
10 topics
Introduction to Macroeconomics National Income Accounting Economic Indicators Monetary Policy Fiscal Policy
8. Investments and Portfolio Management
100 mins
10 topics
Introduction to Investments Financial Markets and Instruments Portfolio Theory Investment Strategies Risk Management in Investments
9. Financial Risk Management
80 mins
8 topics
Introduction to Financial Risk Management Risk Identification and Assessment Risk Mitigation Strategies Value at Risk (VaR) Analysis Stress Testing and Scenario Analysis
10. Econometrics for Finance
80 mins
8 topics
Introduction to Econometrics for Finance Regression Analysis in Finance Time Series Analysis in Finance Panel Data Analysis in Finance Asset Pricing Models
Study Assistant

Instant help with course questions

Hi there! I'm your YnetStudyHub assistant. How can I help with your studies today?