2021/22 Taught Postgraduate Module Catalogue
LUBS5001M Security Investment Analysis
15 creditsClass Size: 150
Module manager: Dr. Shima Amini
Taught: Semester 1 (Sep to Jan) View Timetable
Year running 2021/22
This module is not approved as an Elective
ObjectivesSecurity Investment Analysis aims to develop students’ knowledge and understanding of the key issues in security analysis at an advanced level. The module attempts to demonstrate the language, concepts, vehicles, and strategies of investing and requires students to be able to confidently use, interpret and manipulate financial formulas and numerical data. The module is also aimed to make students familiar with the contemporary theoretical and empirical literature in analysing and selecting financial securities for investment purposes. Overall, the module will help students to make informed investment decisions in the highly dynamic investment environment.
Upon completion of this module students will be able to critically evaluate:
- key issues and techniques in investment analysis
- different types of investments securities transactions and financial markets
- contemporary theoretical and empirical literature
- contemporary models of evaluating common stocks and fixed income securities
Upon completion of this module students will be able to:
- demonstrate numeracy and quantitative skills, including data analysis and interpretation
- apply numerical skills to analyse investments after considering the risk and return of both markets and investment vehicles
- apply investment techniques and concepts to make informed investment decisions in the highly dynamic investment environment
The syllabus provides coverage of some of the fundamental current concepts and theories underpinning security analysis and indicative content includes: an introduction to the financial markets and instruments, securities markets and transactions with a special focus on the London Stock Exchange, major types of investment companies and their relevance for investors, risk and return of the common stocks and a summary of the lessons of portfolio theory, macroeconomic and Industry analysis, company analysis and equity valuation models, technical analysis, investment strategies, and analysis of the fixed income securities. There are no prerequisites for this module nor is the passing of this module a prerequisite for any other module. The module is assessed by means of a two hour written examination.
|Delivery type||Number||Length hours||Student hours|
|Private study hours||122.00|
|Total Contact hours||28.00|
|Total hours (100hr per 10 credits)||150.00|
Private studyThis could include a variety of activities, such as reading, watching videos, question practice and exam preparation.
Opportunities for Formative FeedbackYour teaching methods could include a variety of delivery models, such as face-to-face teaching, live webinars, discussion boards and other interactive activities. There will be opportunities for formative feedback throughout the module.
Methods of assessment
|Exam type||Exam duration||% of formal assessment|
|Standard exam (closed essays, MCQs etc)||2 hr||100.00|
|Total percentage (Assessment Exams)||100.00|
The resit for this module will be 100% by 2 hours examination.
Reading listThe reading list is available from the Library website
Last updated: 30/06/2021 15:20:01
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