FIN309M Financial Risk Management A

School of Business Administration in Karvina
Summer 2009
Extent and Intensity
2/1/0. 5 credit(s). Type of Completion: z (credit).
Guaranteed by
prof. RNDr. Stanislav Polouček, CSc.
Department of Finance and Accounting – School of Business Administration in Karvina
Course Enrolment Limitations
The course is also offered to the students of the fields other than those the course is directly associated with.
fields of study / plans the course is directly associated with
Literature
    required literature
  • Aktuální opatření a vyhlášky České národní banky. info
  • VODOVÁ, P. Řízení finančních rizik A. Distanční studijní opora. Karviná: OPF SU, 2006. ISBN 80-7248-349-8. info
  • JÍLEK, J. Finanční rizika. Praha: GRADA Publishing, 2000. ISBN 80-7169-579-3. info
    recommended literature
  • ALLEN, S. Financial risk management: a practitioner´s guide to managing market and credit risk. New Jersey: John Wiley & Sons, 2003. ISBN 0-471-21977-0. info
  • BRINK, GJ. Operational risk: The new challenge for banks. New York: Palgrave, 2002. ISBN 0-333-96868-9. info
  • BESSIS, J. Risk Management in Banking(2nd ed.). Chichester: John Wiley & Sons, 2002. ISBN 0-471-893366. info
  • DVOŘÁK, P. Komerční bankovnictví pro bankéře a klienty. Praha: Linde, 1999. ISBN 80-7201-141-3. info
  • POLIDAR, V., PEARAER, M. Úvěrové obchody. Praha: Bankovní institut, 1999. info
  • SEKERKA, B. Řízení bankovních rizik. Praha: Profess Consulting, 1998. ISBN 80-85235-56-0. info
  • PRICE WATERHOUSE. Úvod do řízení úvěrového rizika. Praha: Management Press, 1994. ISBN 80-85603-49-7. info
Language of instruction
Czech
Further Comments
The course can also be completed outside the examination period.
The course is also listed under the following terms Winter 2007, Summer 2008, Summer 2010, Summer 2011, Summer 2012.
  • Enrolment Statistics (Summer 2009, recent)
  • Permalink: https://is.slu.cz/course/opf/summer2009/FIN309M