授業の目的 【日本語】 Goals of the Course(JPN) | | 履修生は、本演習で主にマクロ経済学、公共財務管理およびファイナンスを学習する。本演習での活動は下記の3点である。1.定期的な学習成果を報告、2.教科書を学習し、その成果を発表する。3.各自対象国を設定しマクロモデルを開発する。 |
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授業の目的 【英語】 Goals of the Course | | The students will learn primarily three areas in development, i.e., policy side of macroeconomics, public financial management and financial sector development. The seminar is run by a mixture of three components. The first component is a presentation by the participants on their research progress. The research progress is periodically reported and discussed. The second component is a textbook reading session. In a textbook reading session, students are notified the book and chapters for presentation and all of them prepare but one student chosen will present. The third component is to conduct macroeconomic analysis using Excel-based macro-economic model where students will build macro-economic model in Excel, populate the data and produce charts. |
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到達目標 【日本語】 Objectives of the Course(JPN) | | 履修生は、マクロ経済学、公共財務管理およびファイナンスに関する理解を深め、特定国のマクロモデルを構築し、当該国のマクロ分析を実施、教科書の学習で得たマクロ経済学、公共財務。で獲得した知識を応用することができるようになる |
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到達目標 【英語】 Objectives of the Course | | Students will improve economic theory in macroeconomics, public financial management and finance and be able to practice their knowledge and insights through building macroeconomic model and conducting analysis using the model. Students are expected to read relevant parts of textbooks.
Need to have personal computer since major part of the study use Excel. |
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授業の内容や構成 Course Content / Plan | | The seminar participants will study each module of online courses by IMF on economic analysis before the seminar and one person will present. Online course will be announced at the start of the seminar. First 15 weeks in the spring semesters covers basic macroeconomic analysis and another 15 weeks in the fall semester covers advanced policy analysis.
Week 1: Introduction to Finance
Week 2: Net Present Value
Week 3: Deriving Bond Price
Week 4: Bond and Banking Sector
Week 5: Duration
Week 6: Convexity
Week 7: Equity Analysis - Discount Dividend Model
Week 8: Value at Risk
Week 9: Adverse Selection
Week10: Moral Hazard
Week11: Financial Market Development
Week11: Bank and Market
Week12: Bond Market Development
Week13: Banking Sector Development
Week14: Government Policy and Financial Market Development
Week15: Credit Bureau, Credit Guarantee and Factoring
Week16: Monetary Policy
Week17: Monetary Policy without Open Market Operation
Week18: Credit Creation Model I
Week19: Credit Creation Model I
Week20: Financial Crisis |
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履修条件・関連する科目 Course Prerequisites and Related Courses | | Development Finance, Development Economics, Macroeconomics, Microeconomics.
There is no precondition to take this course. |
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成績評価の方法と基準 Course Evaluation Method and Criteria | | Class participation 70% and presentation 30%. Credit is given of C(where applicable)or higher for each graded criterion. |
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教科書・参考書 Textbook/Reference Book | | Gregory Mankiw, Macroeconomics (9th edition), Macmillan Education
Paul Krugman, International Economics Theory and Policy, 11th edition, Pearson |
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課外学習等(授業時間外学習の指示) Study Load(Self-directed Learning Outside Course Hours) | | Students are expected to read relevant parts of textbooks and lecture notes provided. |
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注意事項 Notice for Students | | Need to have personal computer for hand-on exercises. |
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使用言語 Language(s) for Instruction & Discussion | | |
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授業開講形態等 Lecture format, etc. | | 対⾯・遠隔(同時双方向型)の併⽤。遠隔授業は Teams、Zoom等で⾏う。
※履修登録後に授業形態等に変更がある場合には、NUCTの授業サイトで案内します。
Combination of face-to-face and remote (interactive communication class) classes. Remote classes are conducted via Teams, Zoom, etc.
*Guidance will be posted on NUCT if there are any changes in the class format, etc. after registration. |
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遠隔授業(オンデマンド型)で行う場合の追加措置 Additional measures for remote class (on-demand class) | | |
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