International Finance
Información académica
Code:
40313
Créditos:
4 ECTS
Language:
English
Description
Monetary markets. Stock exchanges and commodities markets. Cash and deposit operations. Options and contracting of financial futures. Inter-banking products. Business risk.
Learning Outcomes
Understand and apply systems and models for carrying out financial operations that help consolidate customer relations by facilitating invoice and payment methods and means of finance in commercial negotiations with customers.
Samer Ajour
Lecturer
PhD Master in Research on Credit and Risk Management (UPC)
Master in Science – Economics and Finance (UPF)
Master in Business Administration, Full Time MBA Finance Intensification (UIBS)
BS Economics and Finance/Applied Math (AUST)
Samer Ajour has a bachelor’s degree in Mathematics and Economics from the American University of Science and Technology, an MBA and an MSc in Finance from UPF and a PhD from the Universitat Politècnica de Catalunya. He works as a credit risk analyst and report leader for Spain, the UK, the United Arab Emirates and other markets in EMEA. He teaches mathematics and finance at several business schools. He did research at IESE Business School for a study on investment and investment management in the financial market.