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Terminated in academic year 2020/2021

EU Banking

Type of study Follow-up Master
Language of instruction Czech
Code 120-0352/02
Abbreviation BEU
Course title EU Banking
Credits 4
Coordinating department Department of International Economic Relations
Course coordinator prof. RNDr. PhDr. Stanislav Polouček, CSc.

Subject syllabus

1.Characteristics of financial and banking sector, concept and definition of a bank, organizing structure and banking management
2.Factors influencing changes in financial institutions structure, influence of the EU on shaping banking sector in EU countries
3.Banks liabilities I.
4.Banks liabilities II.
5.Banks assets I.
6.Banks assets II.
7.Banks management within EU
8.Investment banking and off-balance banking
9.Banking regulation and supervision, regulation development and future reforms
10.Mergers and acquisitions in banking sector, influence of EU legislative
11.Concentration and competition in banking, influence of EU legislative
12.Illegal activities in banking (insider trading, money laundering)

Literature

1.FREIXAS, X., ROCHET, J. C. Microeconomics of Banking. Cambridge, MA, London, England : MIT, 1998. 314 s. ISBN 0-262-06193-7 .
2.POLOUČEK, S. a kol. Bankovnictví.Praha : C.H.Beck, 2006. 716 s. ISBN 80-7179-462-7. Zákon č. 21/1992 Sb., o bankách ve znění pozdějších změn.MĚT, BUDE DOPLNĚNO - NOVÝ PŘEDMĚT,

Advised literature

1.CECHETTI, S. G., SCHOENHOLTZ, K. L. Money, banking, and financial markets. 4th ed. New York: McGraw-Hill Education, 2014. ISBN 9780078021749 .
2. DRDLA, M., RAIS, K. Evropskáunie: Evropskáintegracebankovnictví. Praha : Computer Press, 1999. ISBN 80-7226-211-4.
3.HORVÁTOVÁ, E.: Bankovníctvo. Žilina : GEORG, 2009. ISBN 978-80-89401-03-1 .
4.MEJSTŘÍK, M., PEČENÁ, M., TEPLÝ, P. Základní principy bankovnictví/Basic principlesofbanking.Praha : Karolinum 2008. ISBN 978-80-246-1500-4.
5.POLOUČEK, S. a kol. Peníze, banky, finančnítrhy. Praha : C. H. Beck, 2009. 415 s. ISBN 978-80-7400-152-9.
6.ROSE, P. S., HUDGINS, S. C. Bank Management &FinancialServices. New York : McGraw-HillCompanies, 2013. 9th edition. 740 s. ISBN 978-007-132642-1.
7.SAUNDERS, A., CORNETT, M. M. FinancialInstitutions Management. A Risk Management Approach. Boston etc. : McGraw-Hill, 2006. 5th Edition. ISBN 007-124764-5 .
8. Zákon č. 321/2001 Sb., o spotřebitelském úvěru ve znění pozdějších novel