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universitas indonesia fakultas ekonomi bisnis departemen akuntansi program studi s1 syllabus investasi dan pasar modal investment and capital market ecau 609119 odd semester 2019 2020 no name of lecturers e ...

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                                UNIVERSITAS INDONESIA 
                                FAKULTAS EKONOMI & BISNIS 
                                DEPARTEMEN AKUNTANSI 
                                PROGRAM STUDI S1  
                  
                                                               SYLLABUS 
                              INVESTASI DAN PASAR MODAL (INVESTMENT AND CAPITAL MARKET) 
                                                             ECAU 609119 
                                                     ODD SEMESTER 2019/2020 
                                                                     
             No.                     Name of Lecturers                                              E-mail  
             1     Arman Hendiyanto, S.E., M.Sc., MBA / Helen Riyani           arman@kap-arman.com / 
                   Tanzil, S.E., MBA – A                                       helenhendiyanto@yahoo.com 
             2     Rachman Untung Budiman, S.E., Ak., MBA., CFA - B            rachman.untung@gmail.com  
             3     Dr. Budi Frensidy, S.E., M.Com. / Edward Tanujaya,          budi.frensidy@ui.ac.id / 
                   S.E., M.Sc - C                                              edward_tanujaya@yahoo.com 
                                                                                
             4     Dr. Darminto, SE, MBA / Catur Sasongko, S.E., MBA –         dr.darminto@yahoo.co.id, 
                   D                                                           darminto.mba@ui.ac.id / 
                                                                               catur_sasongko76@yahoo.com 
             5     Dr. Budi Frensidy, S.E., M.Com. / Dr. Darminto, SE,         budi.frensidy@ui.ac.id / 
                   MBA – KKI                                                   dr.darminto@yahoo.co.id, 
                                                                               darminto.mba@ui.ac.id 
                  
             Subject Code         ECAU 609119 
             Subject Title        Investment and Capital Market  
             Credit Value         3 
             Level                2 
             Pre-requisite/       Introduction to Financial Management 
             Co-requisite/ 
             Exclusion 
             Role and Purposes  This subject contributes to the achievement of the outcomes of bachelor program by enabling 
                                  students to apply technical competence in investments.  Specifically, the subject enables 
                                  students to understand the unique nature of financial institutions and their role in the financial 
                                  systems  and  discuss  basic  investment  analysis  for  several  types  of  investment  products 
                                  available in the capital market.  
             Subject Learning     Upon completion of the subject, students will be able to: 
             Outcomes             a.  Understand  the unique nature of financial institutions and their role in the financial 
                                     system 
                                  b.  Explain core concepts in investments, including risk, return, risk premium, risk aversion,, 
                                     efficient diversification, capital asset pricing and arbitrage pricing theory and the efficient 
                                     market hypothesis.  
                                  c.  Explain basic investment analysis, valuation and management, for various financial 
                                     products available in the financial market, including fixed income, equity and derivative 
                                     securities. 
                                   
                                                                                                            Page 1 of 6 
                  
                                       Week #                              Topic                            LO           Reading 
             Subject Synopsis/                                                                                          Materials 
             Indicative Syllabus          1         Investments: Background and Issues                       a      Bodie Ch.1 and 
                                                    •  Real Assets versus Financial Assets                          3 
                                                    •  Financial Markets and the Economy 
                                                    •  The Investment Process                                       Assignment: 
                                                    •  The Players                                                  Problem Sets 
                                                    Securities Markets                                              3-17, 3-18, 3-
                                                    •  How Firms Issue Securities                                   19, 
                                                            o  Privately Held Firms                                  
                                                            o  Publicly Traded Companies                             
                                                            o  Shelf Registration 
                                                            o  Initial Public Offerings 
                                                    •  How Securities Are Traded 
                                                            o  Types of Markets 
                                                            o  Types of Orders 
                                                            o  Trading Mechanisms 
                                                    •  Margin Trading 
                                                    •  Short Sales 
                                          2         Asset Classes and Financial Instruments                  a      Bodie Ch. 2 and 
                                                    •  The Money Market                                             4 
                                                    •  The Bond Market                                               
                                                    •  The Equity Market                                            Assignment: 
                                                    •  The Derivative Market                                        Problem Sets 
                                                    •  Stock and Bond Market Indexes                                2-19, 2-20 
                                                    Mutual Funds & Other Investment Companies                        
                                                    •  Types of Investment Companies                                Problem sets  
                                                    •  Mutual Funds                                                 4-13, 4-14, 4-
                                                    •  Costs of Investing in Mutual Funds 
                                                    •  Exchange-Traded Funds                                        15, 4-16 
                                                    •  Mutual Funds Investment Performance 
                                                     
                                          3         Risk and Return: Past and Prologue                       b      Bodie Ch. 5 
                                                    •  Rates of Return                                              Assignment: 
                                                    •  Risk and Return Premiums                                     Problem Sets 
                                                    •  The Historical Record                                        5-6, 5-7. 
                                                    •  Inflation and Real Rates of Return                           CFA Problems: 
                                                    •  Asset Allocation across Risky and Risk-Free 
                                                        Portfolios                                                  5-7, 5-8, 5-9 
                                                    •  Passive Strategies and Capital Market Line 
                                                         
                                          4         Efficient Diversification                                b      Bodie Ch. 6  
                                                    •  Diversification and Portfolio Risk                           Assignment: 
                                                    •  Asset Allocation with Two Risky Assets                       Problem Sets 
                                                    •  The Optimal Risky Portfolio with a Risk-Free                 6-3, 6-12, 6-13, 
                                                        Asset                                                       6-14 
                                                                                                                 Page 2 of 6 
                  
                                                   •  Efficient Diversification with Many Risky                    
                                                      Assets 
                                                   •  A Single-Index Stock Model 
                                                   •  Risk of Long-Term Investments 
                                         5         Capital Asset Pricing and Arbitrage Pricing             b      Bodie Ch. 7 
                                                   Theory                                                         Assignment: 
                                                   •  The Capital Asset Pricing Model (CAPM)                      Problem Sets 
                                                   •  The CAPM and Index Models                                   7-4, 7-5, 7-9, 7-
                                                   •  The CAPM and the Real World                                 10 
                                                   •  Multifactor Models and the CAPM                             CFA Problems: 
                                                   •  Arbitrage Pricing Theory (APT) 
                                                                                                                  7-2 
                                         6         Bond Prices and Yields                                  c      Bodie Ch. 10  
                                                   •  Bond Characteristics                                        Assignment: 
                                                   •  Bond Pricing                                                Problem Sets 
                                                   •  Bond Yields                                                 10-16, 10-17, 
                                                   •  Bond Prices Over Time                                       10-21, 10-22, 
                                                   •  Default Risk and Bond  Pricing                              10-27, 10-32 
                                                   •  The Yield Curve 
                                         7         Managing Bond Portfolios                                c      Bodie Ch. 11  
                                                   •  Interest rate Risk                                          Assignment: 
                                                   •  Passive Bond Management                                     Problem Sets 
                                                   •  Convexity                                                   11-8, 11-12, 11-
                                                   •  Active Bond Management                                      15 
                                                                                                                  CFA Problems: 
                                                                                                                  11-2, 11-3 
                                       Group       Write a paper maximum 15 pages (font 11 Arial                  Submitted in 
                                    Assignment  paragraph 1.5). Each group should have                            Mid-Semester 
                                                   different topics.  The topics may cover, but not               Exam  
                                                   limited, to the following topics: 
                                                   •  The History, Challenge, and Future of 
                                                      Pension Funds in Indonesia 
                                                   •  The History and Prospect of Hedge Funds in 
                                                      Indonesia 
                                                   •  An Analysis of Pros and Cons of Investment 
                                                      in Unit Links in Indonesia 
                                                   •  Market-Based vs Bank-Based Financial 
                                                      System 
                                                   •  The Background, Trend, and Challenge of 
                                                      Government Bonds in Indonesia 
                                                   •  The Past and Future of Corporate Bonds in 
                                                      Indonesia 
                                                   •  The Study of ORI and Sukuk Ritel (SRI) in 
                                                      Indonesia 
                                                                                                               Page 3 of 6 
                  
                                         •  The History and Challenge of Global 
                                            (Government and Corporate) Bonds in 
                                            Indonesia 
                                         •  The Advantages and Disadvantages of 
                                            Investing in Zero-Coupon Bonds, Floating- 
                                            Rate Bonds, and Fixed-Rate Bonds 
                                         •  The History, Challenge, and Prospect of 
                                            Mutual Fund Industry in Indonesia 
                                         •  The History, Challenge, and Future of ETFs in 
                                            Indonesia 
                                         •  The Study of ETFs in Asian/Emerging 
                                            Countries 
                                         •  An Analysis of Credit Default Swaps (CDS) in 
                                            Indonesia and Other Asian/Emerging 
                                            Countries 
                                         •  The Performance of Stock Market Funds, 
                                            ETFs, and Stock Composite Index in 
                                            Indonesia 
                                         •  The Pros and Cons of Investor Protection 
                                            Fund in Indonesia 
                                         •  An Analysis of Active ve Passive Strategies in 
                                            Indonesia Stock Exchange 
                                         •  Performance Evaluation of Big Capitalization 
                                            Stocks vs Small Capitalization Stocks in 
                                            Indonesia 
                                         •  An Evaluation of Direct Investing vs Indirect 
                                            Investing in Stock Market in Indonesia 
                                                     MID – TERM EXAM                         
                              Individual             Investment Games                         Submitted 
                             Assignment                                                     during the class 
                                 8       The Efficient Market Hypothesis              b     Bodie Ch. 8 dan 
                                         •  Random Walk and the Efficient Market            9  
                                            Hypothesis (EMH)                                Assignment: 
                                         •  Implications of the EMH                         Problem Sets 
                                         •  Are Markets Efficient? EMH Tests                8-11, 8-12, 8-13 
                                         •  Mutual Fund and Analyst Performance             9-1, 9-6, 9-7 
                                          
                                         Behavioral Finance and Technical Analysis 
                                         •  The Behavioral Critique 
                                 9       Macroeconomic and Industry Analysis          c     Bodie Ch. 12  
                                         •  The Global Economy                              Assignment: 
                                         •  The Domestic Macroeconomy                       Problem Sets 
                                         •  Interest Rates 
                                         •  Demand and Supply Shocks 
                                         •  Federal Government Policy 
                                                                                         Page 4 of 6 
               
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...Universitas indonesia fakultas ekonomi bisnis departemen akuntansi program studi s syllabus investasi dan pasar modal investment and capital market ecau odd semester no name of lecturers e mail arman hendiyanto m sc mba helen riyani kap com tanzil a helenhendiyanto yahoo rachman untung budiman ak cfa b gmail dr budi frensidy edward tanujaya ui ac id c darminto se catur sasongko co d kki subject code title credit value level pre requisite introduction to financial management exclusion role purposes this contributes the achievement outcomes bachelor by enabling students apply technical competence in investments specifically enables understand unique nature institutions their systems discuss basic analysis for several types products available learning upon completion will be able system explain core concepts including risk return premium aversion efficient diversification asset pricing arbitrage theory hypothesis valuation various fixed income equity derivative securities page week topic ...

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