Type A
|
Code |
Learning outcomes |
| A5 |
Analyze the decisions of a rational agent in conditions of uncertainty.
Analyze the basic models of general equilibrium in financial markets and their implications for share valuations.
Analyze portfolio selection in terms of a mean variance context and the study of the CAPM.
|
Type B
|
Code |
Learning outcomes |
| B2 |
Draw up strategies to solve problems.
Find appropriate solutions.
|
Type C
|
Code |
Learning outcomes |
| C4 |
Produce well-structured, clear and rich written texts
Produce written texts that are appropriate to the communicative situation
|