OPF:FIN409M Financial Risk Management B - Course Information
FIN409M Financial Risk Management B
School of Business Administration in KarvinaWinter 2010
- 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
- Managerial Informatics (programme OPF, M_SYSINF)
- Literature
- required literature
- JÍLEK, J. Finanční rizika. Praha: GRADA Publishing, 2000. ISBN 80-7169-579-3. info
- SAUNDERS, A. Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms. New York: John Wiley & Sons, 1999. ISBN 0-471-35084-2. info
- recommended literature
- VODOVÁ, P. Credit Risk as a Cause of Banking Crisis. [online] In Proceedings of the Second International Workshop on Efficiency of Financial Institutions and European Integration. Lisbon: Technical University - Institut of Econo, 2003. info
- Credit risk transfer. Basel: Bank for International Settlements, 2003. ISBN 92-9131-641-5. info
- 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
- BESSIS, J. Risk Management in Banking(2nd ed.). Chichester: John Wiley & Sons, 2002. ISBN 0-471-893366. info
- DEMPSTER, MAH. Risk Management: Value At Risk and Beyond. Cambridge: University Press, 2002. ISBN 0-521-78180-9. info
- SEKERKA, B. Řízení bankovních rizik. Praha: Profess Consulting, 1998. ISBN 80-85235-56-0. info
- Language of instruction
- Czech
- Further Comments
- The course can also be completed outside the examination period.
- Enrolment Statistics (Winter 2010, recent)
- Permalink: https://is.slu.cz/course/opf/winter2010/FIN409M