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Financial Markets II. B

Type of study Follow-up Master
Language of instruction Czech
Code 154-0338/04
Abbreviation FTIIB
Course title Financial Markets II. B
Credits 5
Coordinating department Department of Finance
Course coordinator prof. Ing. Tomáš Tichý, Ph.D.

Subject syllabus

1. Classification of financial institutions
2. Central bank and its function
3. Regulation and supervision at financial markets with special focus on banking
4. Financial statements and reporting in banking
5. Value creation and actual trends in banking
6. Risk management in banking
7. Market risk
8. Credit risk
9. Lending policies and procedures
10. Operational risk and IT systems
11. Banking products
12. Asset-liability management
13. Customer decision-making in banking

Literature

KAŠPAROVSKÁ, Vlasta. Řízení obchodních bank: vybrané kapitoly. Praha: C. H. Beck, 2006. ISBN 80-7179-381-7.
REVENDA, Zbyněk. Centrální bankovnictví. 3. aktualiz. vyd. Praha: Management Press, 2011. ISBN 978-80-7261-230-7.
ROSE, Peter S. a Sylvia Conway HUDGINS. Bank management & financial services. 9th ed., McGraw-Hill international ed. New York: McGraw-Hill, 2013. ISBN 978-0-07-132642-1.

Advised literature

HULL, John. Risk management and financial institutions. 6th ed. Hoboken: Wiley, 2023. ISBN 978-1-118-95594-9 .
MEJSTŘÍK, Michal, Magda PEČENÁ a Petr TEPLÝ. Základní principy bankovnictví. Praha: Karolinum, 2008. ISBN 978-80-246-1500-4.
MISHKIN, Frederic S. The economics of money, banking, and financial markets. 12th ed. Harlow: Pearson, 2019. ISBN 978-1-292-26885-9.