- Level Foundation
- المدة 17 ساعات hours
- الطبع بواسطة The University of Melbourne
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Offered by
عن
In this course, participants will learn about how different markets around the world can interact to create value for, and effectively manage the risk of, corporations and their stakeholders. This is part of a Specialization in corporate finance created in partnership between the University of Melbourne and Bank of New York Mellon (BNY Mellon). View the MOOC promotional video here: http://tinyurl.com/j7wyowoالوحدات
Welcome and Introduction
1
Videos
- The Role of Global Capital Markets - Overview
2
Readings
- Course Syllabus
- Your Teaching Team
Week 1
6
Videos
- 1.0 Welcome and Introduction (Getting organized)
- 1.1 The Equity Market (Where the company owners meet…)
- 1.2 The Debt market (Where the company lenders meet…)
- 1.3 The Foreign Exchange Market (No company is an island…)
- 1.4 The Commodity Market (Where real assets are traded…)
- 1.5 The Derivatives Market (Where business risks can be traded…)
2
Readings
- Week 1 Outline
- Start of Course Survey
2
Quiz
- Week 1 Practice Quiz - This quiz does not contribute to your final grade
- Week 1 Graded Quiz - This quiz contributes 10% towards your final grade
Resource Center
3
Readings
- Resources
- Social Media
- Study Tools and Tips
Week 2
6
Videos
- 2.0 Markets and Value Creation (What have those markets done for us?)
- 2.1 Flow of Funds (Access to finance keeps companies afloat)
- 2.2 Price Discovery and Fair Value (A level playing field)
- 2.3 Competition for Funds (Optimally allocating scarce funds)
- 2.4 Portfolio Diversification (Sharing the risks)
- 2.5 Principal Players (What does it take for the market to succeed?)
1
Readings
- Week 2 Outline
2
Quiz
- Week 2 Practice Quiz - This quiz does not contribute to your final grade
- Week 2 Graded Quiz - This quiz contributes 10% towards your final grade
Mid Course Reflections
2
Videos
- Mid Course Check-in
- A View from Industry with BNY Mellon
Week 3
5
Videos
- 3.0 Financing Opportunities and Constraints (Limits to growth)
- 3.1 Liquidity Crises (When prices go stale)
- 3.2 Fairness, Integrity and Transparency (Trust)
- 3.3 Market Discipline (To keep companies honest)
- 3.4 Rating Agencies (A company quality assessment)
1
Readings
- Week 3 Outline
2
Quiz
- Week 3 Practice Quiz - This quiz does not contribute to your final grade
- Week 3 Graded Quiz - This quiz contributes 10% towards your final grade
Week 4
6
Videos
- 4.0 The Links Between Global Markets (Contagion and spillover)
- 4.1 Market Linkages (All prices are connected)
- 4.2 Globalization (Finance knows no borders)
- 4.3 A Global Financial Crisis (Were the markets to blame?)
- 4.4 The Future of Financial Markets (For better or worse…)
- 4.5 A Summary (Now you know the markets)
1
Readings
- Week 4 Outline
2
Quiz
- Week 4 Practice Quiz - This quiz does not contribute to your final grade
- Week 4 Graded Quiz - This quiz contributes 10% towards your final grade
Final Exam and Assessments
1
Peer Review
- The Role of Global Capital Markets - This contributes 20% towards your final grade
3
Readings
- Academic Integrity
- Where to From Here? The Next Step.
- End of Course Survey
1
Quiz
- Course Final Exam - This quiz contributes 40% towards your final grade
Auto Summary
Discover how global capital markets create value and manage corporate risk in this foundational course by Coursera. Partnered with the University of Melbourne and BNY Mellon, this 1020-minute program is perfect for business and management enthusiasts. Available with Starter and Professional subscriptions. Ideal for those interested in corporate finance.

Paul Kofman

Sean Pinder