OPF:FIUNPNBM Banking Models and Analysis - Course Information
FIUNPNBM Banking Models and Analysis
School of Business Administration in KarvinaWinter 2023
- Extent and Intensity
- 2/1/0. 5 credit(s). Type of Completion: zk (examination).
- Teacher(s)
- doc. Ing. Iveta Palečková, Ph.D. (lecturer)
- Guaranteed by
- doc. Ing. Iveta Palečková, Ph.D.
Department of Finance and Accounting – School of Business Administration in Karvina
Contact Person: Ing. Irena Szarowská, Ph.D., MPA - Timetable
- Mon 14:45–16:20 A412
- Timetable of Seminar Groups:
- Prerequisites
- FAKULTA(OPF) && TYP_STUDIA(N) && FORMA(P)
None - Course Enrolment Limitations
- The course is only offered to the students of the study fields the course is directly associated with.
The capacity limit for the course is 24 student(s).
Current registration and enrolment status: enrolled: 7/24, only registered: 0/24 - fields of study / plans the course is directly associated with
- Banking, Finance, Insurance (programme OPF, N_BPP)
- Course objectives
- The aim of the course is to introduce students to the advanced topics in the field of banking, such as banking stability, efficiency, international banking or the causes of banking crises.
- Learning outcomes
- Upon completion of the course, the student will be able to: - orient themselves in basic and advanced areas of banking and banks; - evaluate bank stability, bank competition and concentration; - be familiar with the financial statements of a bank; - will know the current trends in banking; - be familiar with digitalisation in banking; - know the causes of the banking crisis; - orientation in professional literature related to banking.
- Syllabus
- 1. Theoretical approaches to banking 2. Development trends in banking 3. Concentration and competition in banking 4. International banking 5. Bank efficiency 6. Performance and financial stability of the banking sector 7. Banking crisis
- Literature
- required literature
- POLOUČEK, S. Bankovnictví. 2. vyd. Praha: C.H.Beck, 2013. ISBN 978-80-7400-491-9. info
- FREIXAS, X. and J. C. ROCHET. Microeconomics of Banking. 2nd ed. Cambridge: The MIT Press, 2008. ISBN 978-0-262-06270-1. info
- recommended literature
- WU, Y. An Analysis of Credit and Equilibrium Credit Rationing (The Financial sector of the American economy). London: Routledge, 2017. ISBN 978-11-3870-515-9. info
- FREIXAS, X., L .LAEVEN and J. L. PEYDRÓ. Systemic Risk, Crises, and Macroprudential Regulation. Massachusetts: The MIT Press, 2015. ISBN 978-0-262-02869-1. info
- MEJSTŘÍK, M., M. PEČENÁ a P. TEPLÝ. Bankovnictví v teorii a praxi / Banking in Theory and Practice. Praha: Karolinum, 2014. ISBN 978-80-246-2870-7. info
- KOSMIDOU, K. and C. ZOPOUNIDIS. New Trends in Bank Efficiency. New York: Nova Science Publishers Inc., 2013. ISBN 978-1-62618-824-2. info
- LEVICH, R. M., G. MAJNONI and C. REINHART. Ratings, Rating Agencies and the Global Financial System. New York: Springer-Verlag Inc., 2012. ISBN 978-14-0207-016-7. info
- Teaching methods
- Skills demonstration
Discussion
Seminar classes - Assessment methods
- Seminar work, literature review, written test and oral exam
- Language of instruction
- Czech
- Further comments (probably available only in Czech)
- Study Materials
The course can also be completed outside the examination period. - Teacher's information
Activity Difficulty [h] Ostatní studijní zátěž 37 Přednáška 26 Seminář 13 Zkouška 40 Summary 116
- Enrolment Statistics (Winter 2023, recent)
- Permalink: https://is.slu.cz/course/opf/winter2023/FIUNPNBM