Saint-Louis University - Bruxelles
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GERF2112 - Corporate finance (1st part)



Credits : 3

Lecturer :
Mode of delivery :
Face-to-face , first term, 15 hours of theory.

Language of instruction :
French

Learning outcomes :
The aim of the course is to provide students with a formal understanding of the main concepts of corporate finance and financial institutions. The principal concern of this course is to examine the roles and the importance of financial intermediaries. It focuses primarily on the variety of funding sources and the use of those funds in order to articulate and understand strategic issues in financial intermediation. In addition, students should master the basic concepts of corporate finance in order to assess the value of firms or investment projects.



Prerequisites :
None

Co-requisites :
None

Course contents :
This course is divided in two parts. The first part is devoted to financial intermediaries and deals with the following topics :
1- Introduction
2- Why do financial institutions exist?
3- The structure of financial intermediation
4- Introduction to financial regulation
5- Governance of financial institutions

The second part focuses on corporate finance and is devoted to the following points:
1- Introduction to corporate finance
2- Definition of Cash flows
3- Firm valuation through ratios
4- Capital structure and firm valuation
5- WACC and adjusted present value of investment projects



Planned learning activities and teaching methods :
The course objectives are achieved via weekly theoretical lectures accompanied with topical example.




Assessment methods and criteria :
Written examination 2h. The aim of this exam is to test student's knowledge regarding firm valuation and financial institutions and their ability to analyze complex phenomena.

Recommended or required reading :
Applied Corporate Finance, 4th Ed., A. Damodaran, Whiley, 2015.
Finance, A. Farber, M-P. Laurent, K. Oosterlinck and H. Pirotte, Pearson Eduation, 2004.
Financial Markets and Institutions, F.S. Mishkin and S.G.Eakins, Pearson, 2015.
Financial Markets and Institutions, 6th Ed., A. Saunders and M. Cornett, McGraw Hill, 2015.
Investments and Portfolio Management, Global Edition, McGraw Hill, 2010.
Principle of Corporate Finance, 9th Ed., Brealey R., S. Myers and M. Allen J., McGraw Hill, 2011.
Risk Management and Financial Institutions, 4th ED., J.C. Hull, Wiley, 2015.