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Course, academic year 2023/2024
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Introductory Banking - JEB126
Title: Introductory Banking
Guaranteed by: Institute of Economic Studies (23-IES)
Faculty: Faculty of Social Sciences
Actual: from 2021
Semester: summer
E-Credits: 5
Examination process: summer s.:
Hours per week, examination: summer s.:2/0, Ex [HT]
Capacity: unknown / unknown (0)
Min. number of students: unlimited
4EU+: no
Virtual mobility / capacity: no
State of the course: not taught
Language: English
Teaching methods: full-time
Teaching methods: full-time
Is provided by: JEB153
Note: course can be enrolled in outside the study plan
enabled for web enrollment
priority enrollment if the course is part of the study plan
Guarantor: Mgr. Magda Pečená, Ph.D.
Teacher(s): Mgr. Barbara Livorová
Mgr. Magda Pečená, Ph.D.
Ing. Saida Teleu, Ph.D.
Class: Courses not for incoming students
Incompatibility : JEB153
Is incompatible with: JEB153, JPB364
Examination dates   Schedule   Noticeboard   
Annotation -
Last update: Mgr. Magda Pečená, Ph.D. (26.01.2021)
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, market, 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.

Summer semester 2021 is conducted online (as far as we know now), all information and links to on-line sessions please find in Moodle: https://dl1.cuni.cz/course/view.php?id=11388
Literature -
Last update: prof. PhDr. Petr Teplý, Ph.D. (16.02.2016)

Obligatory textbooks (selected chapters)
1) Mejstřík, M., Pečená, M., Teplý, P. (2014). Banking in theory and practice. Prague: Karolinum Press
2) Mishkin, F S. (2010). The Economics of Money, Banking & Financial markets. Boston: Addison-Wesley

Requirements to the exam -
Last update: Mgr. Magda Pečená, Ph.D. (16.02.2021)

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

1) Mid-term test (30 pts), the date to be confirmed (mid-semester)

2) Final on-line test (65 pts)

3) Bonus points for class activity (max 5 points)

 

Grading:

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
Syllabus -
Last update: prof. PhDr. Petr Teplý, Ph.D. (20.02.2018)

This is an introductory course on banking. It provides students with an understanding of microeconomic, macroeconomic and political aspects of banking and financial markets.

Schedule:

1) Basics of Banking Markets
2) Evaluation of Bank´s Performance
3) Financial Markets
4) Money and Understanding Interest Rates 
5) Central Banking
6) Managing Risk in Banking
7) Theory of Bank Regulation
8) Bank Capital
9) Credit Risk and Market Risk
10) Liquidity Risk
11) Operational Risk
12) Financial and Bank Crises

Entry requirements - Czech
Last update: SCHNELLEROVA (25.10.2019)

Please switch to the english version.

Registration requirements - Czech
Last update: SCHNELLEROVA (25.10.2019)

Please switch to the english version.

 
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