Qualitative and Quantitative Research Methods in Finance
Teaches: Ivakhnenkov Sergiy
The course is devoted to the study of general methodological aspects of research in finance, in particular those that are based on the positivistic and interpretivistic approaches and paradigms of modern scientific knowledge. The problems of basic financial tenets, theories, models, principles, standards and hypotheses are studied. The application of the qualitative and quantitative research methods in finance are revealed, including setting up experiments, hermeneutics, analyzing business situations, statistical methods, observations, surveys, interviews etc.. Acquired during the course knowledge allow fot mastering the methodology of scientific research of modern European and American standards of the third level education and preparation of the high quality dissertation project at the end of the course.