Osnova sekce

    • This is an introductory course on banking. It provides students with an understanding of microeconomic, macroeconomic and political aspects of banking and financial markets. An analysis of financial institutions/banks is further developed by the assessment of their activities and key associated risks including credit, liquidity, market, operational risks and other non-financial risks. The course also outlines banking management techniques trying to create value for shareholders whilst keeping the risks in mind. Last but not least, the regulatory framework of the global banking industry will be discussed.

      The course will be fully on-line, lectures and tutorials will be held via platform ZOOM (link to every session to be posted to the respective dates).

      The final grade will consist of three parts. In total you can get 100 points.

      1) Mid-Term Test (35 pts) - 1. 4. 2021 (on-line, Moodle)

      2) Final Test (60 pts) 

      27. 5. 2021, 10. 6. 2021 (starting 11:00, on-line, Moodle),

      1. 7. 2021, 3. 9. 2021 (starting 9:00, on-line, Moodle)

      3) Bonus points for activity during the classes (5 points)

      Points   Grade
      91 – 100 pts Excellent  A
      81 –  90 pts Very good B
      71 –  80 pts Good+  C
      61 –  70 pts Good- D
      51 –  60 pts Satisfactory E
        0 –  50 pts Failed F

      The e-version of the Mejstřík, M., Pečená, M., Teplý, P. (2014): Banking in Theory and Practice, Karolinum, ISBN 978-80-246-2870-7 is available at http://eknihy.cuni.cz/. You access the book via e.g. EBSCOhost, which transfers you to the CAS authorization website (you will need your UK login and password to view the book).