Banking & E-Banking(E)
Niveau der Lehrveranstaltung/des Moduls laut Lehrplan
First Cycle
Lernergebnisse der Lehrveranstaltung/des Moduls
Students should get a comprehensive introduction into theory and praxis of modern banking-business and bank-management – both in regard of commercial banking and of investment banking.
A crucial role of modern asset-liability management and of financial risk management - as well as the important related topic of financial regulation, in particular, Basel III financial regulation framework – will be emphasized and thoroughly discussed.
Strategies and methodologies of modern E-Banking and of its efficient management, including human, operational, managerial and strategic issues, will be reviewed in detail.
Voraussetzungen laut Lehrplan
not applicable
Lehrinhalte
1. Roles of Banks in Financial Systems & Integration of Banks and Markets
2. Bank-Business & Bank-Capital
3. Customer Services and Bank Products
4. Credit Assessment & Credit Risk Management
5. Asset-Liability Management & Liquidity Risk Management
6. Market Risk Management – Models & Practices
7. Basel III Regulatory Framework – Basis for Stable Bank Functioning
8. Assets Securitisation – Advantages & Dangers
9. Financial Crisis 2007-2008 – History, Triggers & Lessons
10. Bank Performance – Efficiency, Technological Change and Globalization
11. Managing Operational Risk & Most “Prominent” Fraud Cases – Lessons to Learn!
empfohlene Fachliteratur
1. Moorad Choudhry, “An Introduction to Banking. Principles, Strategy and Risk Management”, 2nd ed., Wiley, 2018.
2. Frederic S. Mishkin, “The Economics of Money, Banking and Financial System. Global Edition”, 12th ed., Pearson, 2018.
3. R. Glenn Hubbard and Anthony Patrick O’Brien, “Money, Banking, and the Financial System”, 3rd ed., Pearson, 2017.
4. Kern Alexander, “Principles of Banking Regulation”, Cambridge University Press, 2019.
5. Matt Krantz and Robert R. Johnson, “Investment Banking for Dummies”, 2nd ed., Wiley, 2020.
6. Joshua Rosenbaum and Joshua Pearl, “Investment Banking: Valuation, LBOs, M&A and IPOs”, 3rd ed., Wiley, 2020.
7. Mahmood Shah and Steve Clarke, “E-Banking Management: Issues, Solutions, and Strategies”, IGI Global, 2009.
Bewertungsmethoden und -kriterien
Final examination
Unterrichtssprache
Englisch
Anzahl der zugewiesenen ECTS-Credits
3
eLearning Anteil in Prozent
0
Semesterwochenstunden (SWS)
2
geplante Lehr- und Lernmethoden
Presentation, discussion, individual and group work
Semester/Trimester, in dem die Lehrveranstaltung/das Modul angeboten wird
1
Name des/der Vortragenden
Dr. Vladimir Zenevitch
Studienjahr
1
empfohlene optionale Programmeinheiten
non
Kennzahl der Lehrveranstaltungen/des Moduls
IP_BUS122
Art der Lehrveranstaltung/des Moduls
Integrierte Lehrveranstaltung
Art der Lehrveranstaltung
Pflichtfach
Praktikum/Praktika
not applicable