Advanced Financial Economics (Fall 2020)
Final year (3rd) undergraduate in Economics
Syllabus

Lectures
L1: Mathematical methods
L2: Empirical methods I
L3: Corporate finance I: Modigliani & Miller theorem
L4: Corporate finance II: Imperfect and incomplete capital markets
L5: Corporate finance III: Taxes
L6: Corporate finance IV: Costly default
L7: Corporate finance V: Agency conflicts
L8: Corporate finance VI: Asymmetric information
L9: Corporate finance VII: Empirical literature
L10: Asset pricing I: Consumption-based asset pricing
L11: Asset pricing II: Portfolio choice
L12: Asset pricing III: Equilibrium asset pricing and CCAPM
L13: Asset pricing IV: Asset pricing bubbles
L14: Asset pricing V: Empirical methods II
L15: Asset pricing VI: Empirical literature
L16: Revision