Finance (doctoral combined)
1st year
1st term
VSFS:DA_MRFR Methods of financial risk management • 89 %
VSFS:DA_PR_1 Presentation of research 1 • 89 %
VSFS:DA_DH Derivatives Hedging • 33 %
VSFS:DA_FIM Financial Institutions and Management • 33 %
VSFS:DA_QMFA Quantitative Methods of Financial Analysis • 22 %
VSFS:DA_TPF Theory of public finance • 22 %
VSFS:DA_IFR International Financial Relations • 11 %
2nd term
VSFS:DA_MTA Macroeconomic Theory and Analysis • 100 %
VSFS:DA_LR Literature Review • 92 %
VSFS:DA_TFM Theory of Financial Markets and Analysis of their Stability • 92 %
2nd year
3rd term
VSFS:DA_DISP_2 Dissertation project 2 • 85 %
VSFS:DA_PR_2 Presentation of research 2 • 85 %
VSFS:DA_PR_1 Presentation of research 1 • 15 %
4th term
VSFS:DA_SFDE State final doctoral exam • 100 %
VSFS:DA_DISP_1 Dissertation project 1 • 93 %
VSFS:DA_TFM Theory of Financial Markets and Analysis of their Stability • 13 %
3rd year
5th term
VSFS:DA_DISP_2 Dissertation project 2 • 100 %
VSFS:DA_PR_2 Presentation of research 2 • 17 %
6th term
VSFS:DA_IP International project • 100 %
VSFS:DA_PA Publication activity • 94 %
VSFS:DA_DISP_3 Dissertation project 3 • 83 %
The information was preprocessed: 9/11/2024 11:57