MN4116 Financial Markets and Investments
Academic year
2026 to 2027 Semester 2
Curricular information may be subject to change
Further information on which modules are specific to your programme.
Key module information
SCOTCAT credits
20
SCQF level
SCQF level 10
Planned timetable
To be confirmed
Module Staff
Dr George Kladakis
Module description
The investment industry has seen profound and rapid development over past decades, in part due to the creation of innovative trading strategies and newly designed securities. The module will broaden students’ appreciation of the financial world and investment opportunities in the financial markets. It also aims to endow students with the skills which are vital to the practices of an investor.
Relationship to other modules
Pre-requisites
BEFORE TAKING THIS MODULE YOU MUST PASS MN3101
Assessment pattern
100% Coursework
Re-assessment
100% Coursework
Learning and teaching methods and delivery
Weekly contact
2-hour lecture (x 11 weeks) and 1-hour tutorial (x 4 weeks)
Scheduled learning hours
25
Guided independent study hours
175
Intended learning outcomes
- Understand the overall investment process and the key elements involved
- Understand and use various financial instruments available to potential investors
- By the end of the module, students will be able to understand and apply key theoretical principles of risk aversion, diversification, asset allocation, and portfolio construction.
- By the end of the module, students will be able to understand efficient market hypothesis and key concepts in behavioural finance.
- By the end of the module, students will be able to understand the mechanics of options, futures, and other derivatives and their application in risk management.