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Terminated in academic year 2021/2022

Bank models and analysis

Type of study Doctoral
Language of instruction Czech
Code 154-0908/02
Abbreviation BMaA
Course title Bank models and analysis
Credits 10
Coordinating department Department of Finance
Course coordinator prof. RNDr. PhDr. Stanislav Polouček, CSc.

Subject syllabus

- mechanismus fungování a řízení bank
- analýza úlohy a místa bank ve struktuře finančních institucí
- struktura aktiv a pasiv bankovního sektoru
- modelovému pojetí a vymezení banky
- fúze a akvizice v bankovním sektoru
- konkurence a koncentrace v bankovnictví

Literature

CHOUDHRY, M. The Principles of Banking. Wiley, 2012.
KOCH, T. W., MACDONALD, S. S. Bank Management. 8th ed. Cengage Learning, 2014.
RESTI, A., SIRONI, A. Risk Management and Shareholders’ Value in Banking: From Risk Measurement Models to Capital Allocation Policies. Wiley, 2007.

Advised literature

ROSE, P. S., HUDGINS, S. C. Bank Management and Financial Services. 9th ed. McGraw-Hill/Irwin, 2012.
SINKEY, J. F. Commercial Bank Financial Management. Prentice Hall, 2002.
WERNZ, J. Bank Management and Control: Strategy, Capital and Risk Management. Springer, 2013.