OPF:FINPMCM Money and Capital Markets A - Course Information
FINPMCM Money and Capital Markets A
School of Business Administration in KarvinaWinter 2010
- Extent and Intensity
- 2/2/0. 4 credit(s). Type of Completion: zk (examination).
- Teacher(s)
- Ing. Stanislav Matuszek (seminar tutor)
- Guaranteed by
- Ing. Stanislav Matuszek
Department of Finance and Accounting – School of Business Administration in Karvina - Course Enrolment Limitations
- The course is offered to students of any study field.
- Course objectives (in Czech)
- The aim of the course is to provide the student with a basic understanding of money and financial markets and how they relate to economic activity. The course is designed around several parts. It covers topics as a role of money and financial market, its organisation, structure and functioning. Follows basics of interest rates, yields, interest rate determination and asset pricing. In the next stage different types of markets as a stock, bond and derivatives markets are explored. The course is capped by explication about stock exchanges and OTC markets within the regions all over the world.
- Syllabus (in Czech)
- 1. Financial Markets and the Subjects of Financial Markets
2. Organisation and Structure of Financial Markets
3. Financial Asset Pricing and Interest Rates
4. Theory of Portdolio and Asset Pricing
5. Money Market
6. Bond Market
7. Stock Market
8. Derivatives Market
9. Stock Exchanges and OTC Markets
- 1. Financial Markets and the Subjects of Financial Markets
- Literature
- required literature
- 1.FABOZZI, F., MODIGLIANI, F. Capital Markets: Institutions and Instruments. London: MacMillan Press, 1997. ISBN 0-333-71397-4. info
- Madura, J. Financial Markets and Institutions. Saint Paul etc., West Publishing Company, 1992. ISBN 0-314-87735-5. info
- KOHN, M. Money, Banking and Financial Markets. 2. vyd. Chicago etc.: The Dryden Press, 1991. ISBN 0-03-033334-2. info
- recommended literature
- 6. Various readings from The Economist, The Banker, IMF Working Paper Series and other. info
- ELTON, EJ., GRUBER, MJ. Modern Portfolio Theory and Investment Analysis. 6th ed. New York, etc.: John Wiley Sons, 2003. ISBN 0-471-23854-6. info
- DAS, S. Risk Management and Financial Derivatives. 1st ed. London: McMillan Press, 1997. ISBN 0333713974. info
- Language of instruction
- English
- Further comments (probably available only in Czech)
- The course can also be completed outside the examination period.
- Enrolment Statistics (Winter 2010, recent)
- Permalink: https://is.slu.cz/course/opf/winter2010/FINPMCM