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Fundamentals of Financial Markets

Anotace

The course is focused on acquiring basic knowledge of financial markets. It provides an introduction to banking, capital markets and insurance. After finishing the course students can define basic functions of financial markets, will be familiar with banking system functioning, will be able to distinguish banking products, will understand problems of securities and investment, will grasp principles of insurance industry.

Povinná literatura

CASU, Barbara, Claudia GIRARDONE and Philip MOLYNEUX. Introduction to banking. 3rd ed. Harlow: Financial Times Prentice Hall, 2021. E-book. ISBN 978-1292240350 .
CECCHETTI Stephen G. a Kermit L. SCHOENHOLTZ. Money, Banking, and Financial Markets. 6th ed. New York. MacGraw-Hill, 2020.736 p. ISBN 978-1260226782.
THOYTS, Rob. Insurance theory and practice. London: Routledge, 2010. 344 p. ISBN 978-0-415-55904-1.

Doporučená literatura

APOSTOLIK, Richard, Christopher DONOHUE and Peter WENT. Foundations of banking risk: an overview of banking, banking risks, and risk-based banking regulation. Jersey City: GARP; Hoboken, c2009. 239 p. ISBN 978-0-470-44219-7.
FABOZZI, Frank J. and Franco MODIGLIANI. Capital Markets. Institutions and Instruments. 5th ed. Cambridge: MIT Press. 2015. 1080 p. ISBN 978-0262029483 .
MISHKIN, Frederic S. a Stanley G. EAKINS. Financial Markets and Institutions. 8th ed. Boston: Pearson Prentice Hall, 2014. 704 p. ISBN 978-0133423624 .


Language of instruction angličtina
Code 154-0560
Abbreviation FFM
Course title Fundamentals of Financial Markets
Coordinating department Department of Finance
Course coordinator Ing. Kateřina Kořená, Ph.D.