Courses Master Display 2013-2014

Course Description To PDF
Course title Management of Financial crises
Course code EBC4152
ECTS credits 6,5
Assessment None
Period
Period Start End Mon Tue Wed Thu Fri
4 3-2-2014 4-4-2014 X X
Level Advanced
Coordinator Bertrand Candelon
For more information: b.candelon@maastrichtuniversity.nl
Language of instruction English
Goals
The objectives of the course are threefold. First, students learn the different notions of the concept of “financial crisis”. In particular, they deal with the theoretical and operational criteria for banking, currency, stock market and debt crises. In a second step, the causes for financial turmoil are scrutinized. A particular attention will be paid to the non-fondamental cause of the crisis such as self-fulfilling propheties, contagion and moral hazard. In a third step, the optimal reactions (macroeconomic policies, regulation, supervision practices,…) will be analysed. Students following this course get a global (macroeconomic and financial) perspective of financial crises.
Description
1-PBL part
1- Financial crises definition and measurement.
2- Origins of the crises.
3- Treatments; International Financial structure
Textbook (Allen and Gale “Understanding financial crises”) and articles:
2-Analysis of the major financial crises
Literature
Prerequisites
Teaching methods (indicative; course manual is definitive) PBL / Presentation / Lecture
Assessment methods (indicative; course manual is definitive) Participation / Written Exam / Oral Exam
Evaluation in previous academic year For the complete evaluation of this course please click "here"
This course belongs to the following programmes / specialisations
Master Financial Economics Electives