154-9508/01 – Banking models and analysis (BMaAa)
Gurantor department | Department of Finance | Credits | 10 |
Subject guarantor | prof. RNDr. PhDr. Stanislav Polouček, CSc. | Subject version guarantor | prof. RNDr. PhDr. Stanislav Polouček, CSc. |
Study level | postgraduate | Requirement | Choice-compulsory |
Year | | Semester | winter + summer |
| | Study language | English |
Year of introduction | 2014/2015 | Year of cancellation | |
Intended for the faculties | EKF | Intended for study types | Doctoral |
Subject aims expressed by acquired skills and competences
The aim of the course is to understand mechanism of working and management of banks, causes and impacts of changes in the bank sector development on bank perforamnce and economics of countries and regions. Contents is primarilly bank position analysis in the financial institutions structure, structure of assets, equity and liabilities of banks, off-balance components and investment banking. Attention will be focused on models in banking sector, mergers and acquisitions, competition and concentration in banking sector, as well.
Teaching methods
Individual consultations
Summary
Compulsory literature:
Recommended literature:
Freixas, X., Rochet, J. CH. Microeconomics of Banking. Cambridge, MA, London, England: MIT, 1998. 314 s.
ISBN 0-262-06193-7.
Horvátová, E.: Bankovníctvo. Žilina: GEORG, 2009.
ISBN 978-80-89401-03-1.
Kočišová, K., Vokorokosová, R. Manažment bankových operácií. Košice: EKF TU, 2009. 181 s.
ISBN 978-80-8086-118-6.
Mejstřík, M., Pečená, M., Teplý, P. Základní principy bankovnictví/Basic principles of banking. Praha: Karolinum 2008.
ISBN 978-80-246-1500-4.
Polouček, S. a kol. Bankovnictví. Praha: C.H.Beck, 2006. 716 s.
ISBN 80-7179-462-7.
Polouček, S. a kol. Peníze, banky, finanční trhy. Praha: C.H.Beck, 2009. 415 s.
ISBN 978-80-7400-152-9.
Rose, P. S., Hudgins, S. C. Bank Management & Financial Services. Boston etc.: McGraw-Hill Irwin, 2005. 6th edition.
ISBN 0-07-286163-0.
Saunders, A., Cornett, M. M. Financial Institutions Management. A Risk Management Approach. Boston etc.: McGraw-Hill, 2006. 5th Edition.
ISBN 007-124764-5.
Sinkey, J. F. Commercial Bank Financial Management. London etc.: Prentice Hall, 1998. 920 s.
ISBN 0-13-521048-8.
Zákon č. 21/1992 Sb., o bankách ve znění pozdějších změn
Zákon č. 321/2001 Sb., o spotřebitelském úvěru ve znění pozdějších novel
Way of continuous check of knowledge in the course of semester
E-learning
Other requirements
There are no other requirements on student.
Prerequisities
Subject has no prerequisities.
Co-requisities
Subject has no co-requisities.
Subject syllabus:
- bank management
- bank role and position in the financial system
- assets, equity and liabilities of a bank
- modelling in banking sector
- mergers and acquisitions in banking sector
- competition and concentration in banking sector
Conditions for subject completion
Occurrence in study plans
Occurrence in special blocks