INVESTMENT MANAGEMENT
Module/Course Title: INVESTMENT MANAGEMENT Course Type: Elective Courses
Course Coordinator:
● Prof. Dr. Ghozali Maski, S.E., MS.
Lesson Plan Developer:
● Vietha Devia SS, S.E., M.E., Ph.D.
Modules/
course code
Student
workloads Credits (ECTS) Semester frequency Duration EKU60217 16 x 3CU x 170
minutes
3 CU x1,5 ECTS
6th Semester Even Semester 1 Semester 1 Types of courses
Lectures Contact hours Independent
study
class sizes 40 students 16 x 3 CU x
50 minutes
16 x 3 CU x 120 minutes 3 Prerequisites for participation (if applicable)
-
4 Learning Outcomes
a) Intended Learning Outcomes (ILO)
● Capable of demonstrating a responsible attitude towards work in their area of expertise independently (ILO 2)
● Capable of generating appropriate decisions in the context of problem solving based on the results of information and data analysis (ILO 5)
● Capable of demonstrating economic thinking, and apply basic principles and economic theory to analyze economic development issues and policies in the field of economic development. (ILO 6)
● Capable of mastering the concepts and theories of applied economics (ILO 10)
b) Course Learning Outcomes (CLO)
● Able to understand the basic concept of investment management
● Able to understand financial instruments for investment
● Able to understand and arrange financial portfolio using investment tools available in the market
● Able to understand and analyze the performance of investment portfolio 5 Subject Content
● Basic concept of investment
● Basic concept of investment management
● Investment tools
● Financial Instruments
● Portfolio management
● Investment performance analysis
● Capital market products
● Derivatives 6 Teaching Methods
1. Problem Based Learning 2. Small group discussions
7 Assessment methods
Participation, Assignment, Quiz, Midterm Exam, Final Exam
8 This Module/Course is also applied in The Following Study Program/s Bachelor Program in Economics
9 Authorisation for modules/courses team
10 References
1. Haugen, Robert A. 1997. “Modern Investment Theory”. Fourth edition. Prentice- Hall International Inc.
2. P Jones, Charles. 1998. “Investment : Analysis and Management”. Sixth edition.
John Willey and Sons Inc.
3. Bodie, Zvi. 2002. “Investment”. Mc-Graw Hill.
4. Fabozzi, Frank J. 2004. “Capital Market”. Prentice-Hall International Inc.
5. Fabozzi, Frank J. 2002. “Foundations of Financial Markets and Institutions”.
Pearson Prentice-Hall International Inc.
6. Cornett. 1999. “Fundamentals of Financial Institutions Management”. Mc- Graw Hill.
7. Satria, Dias. 2008. Keuangan Internasional: Explaining the Financial Crisis.
Malang: Bayumedia
8. Satria, Dias., dan Setyawan, Raden Arif. 2021. Data Analitik: Perspektif Ekonomi dan Bisnis. Malang: UB Press.