KFSPSA Special Seminar A

Faculty of Economics and Administration
Spring 2009
Extent and Intensity
0/0. 4 credit(s). Type of Completion: k (colloquium).
Teacher(s)
doc. Ing. Božena Petrjánošová, CSc. (seminar tutor)
Guaranteed by
doc. Ing. Božena Petrjánošová, CSc.
Department of Finance – Faculty of Economics and Administration
Contact Person: Iva Havlíčková
Timetable
Sat 14. 3. 8:30–11:50 S308, Sat 28. 3. 8:30–11:50 S308, Sat 25. 4. 8:30–11:50 S308
Course Enrolment Limitations
The course is also offered to the students of the fields other than those the course is directly associated with.
The capacity limit for the course is 44 student(s).
Current registration and enrolment status: enrolled: 0/44, only registered: 0/44, only registered with preference (fields directly associated with the programme): 0/44
fields of study / plans the course is directly associated with
Course objectives
Special Seminar - block A (SPSA)
Students will deepen their knowledge of banking especially in the following topic areas: special aspects of banking operations, investment banking, international and world banking, bank marketing, bank management, new aspects and problems of the banking sector, and current legislation.
Credit requirements: seminar paper.
After completion of the course students will be:
- ready to take the professional part of the final state exam in the following fields of study: Banking and Financial Markets.
Syllabus
  • 1) Introductory seminar
  • 2) Special bank products, new products
  • 3) New development trends of bank marketing
  • 4) Investment banking, its specifics and bank products
  • 5) Modifications in the procedure of the bank accounting
  • 6) Amendments of the financial reporting of the banks
  • 7) Changes in the Banking Act and acts on financial markets
  • 8) Bank economy in figures
  • 9) Bank risks management
  • 10) Risks related to universal and specialized banks
  • 11) Operating risk in the banking business
  • 12) Basel II and bank risks management
  • 13) Current trends of the EU banking
Literature
  • JÍLEK, Josef. Finanční rizika. 1. vyd. Praha: Grada, 2000, 635 s. ISBN 8071695793. info
  • PLECHÁČ, Arnošt. Bankovní marketing. Edited by Božena Petrjánošová. Brno: Masarykova univerzita, 1998, 64 s. info
  • ZIEGLER, Kamil. Finanční řízení bank. 1. vyd. Praha: Bankovní institut, 1997, 341 s. ISBN 80-902243-1-8. info
Assessment methods
The seminar finishes with a colloquium. Students may take part in it after they have written a case study which can be related to their diploma thesis.
Language of instruction
Czech
Further Comments
Study Materials
The course is taught annually.
The course is also listed under the following terms Spring 2007, Spring 2008.
  • Enrolment Statistics (recent)
  • Permalink: https://is.muni.cz/course/econ/spring2009/KFSPSA