Course detail
Financial Markets
FP-ftKAcad. year: 2020/2021
The course enables acquirement of theoretical knowledge and practical skills with respect to all spheres of activities on a financial market. The course deals with the individual types of existing financial institutions and financial instruments as well as with the most important types of financial transactions carried out on financial markets. The course provides students also with the fundamentals of financial mathematics.
Language of instruction
Number of ECTS credits
Mode of study
Guarantor
Department
Learning outcomes of the course unit
Prerequisites
Co-requisites
Planned learning activities and teaching methods
Assesment methods and criteria linked to learning outcomes
Completion of the course in distance form:
The conditions for granting the credit are the same as in the previous case. The exam will take the form of a test that will contain 20 multiple-choice questions, some of which may be correct. For each correct answer the student will receive a point, for each incorrect answer the point will be deducted. Unchecked answers will not be evaluated. The condition for successful passing of the exam is the achievement of at least 70% of possible points (evaluation by classification level E). Upon reaching 75% of the possible points, it will be graded D; when 80% of the possible points are reached by grade C; when 85% of the possible points are reached by grade B and when 90% of the possible points are reached by grade A.
Course curriculum
2. Finanční instituce, jejich produkty a služby
3. Úrokové sazby a jejich význam v ekonomice
4. Klíčové faktory finančních investic
5. Základní druhy finančních investičních instrumentů
6. Klasické cenné papíry (1. část)
7. Klasické cenné papíry (2. část)
8. Termínové derivátové instrumenty (1. část)
9. Termínové derivátové instrumenty (2. část)
10. Investiční a podílové fondy
11. Strukturované produkty
12. Regulace a dohled ve finančním systému
13. Soudobé vývojové trendy světového finančního systému a perspektivy jeho budoucího vývoje
Work placements
Aims
Specification of controlled education, way of implementation and compensation for absences
Recommended optional programme components
Prerequisites and corequisites
Basic literature
REJNUŠ, Oldřich. Finanční trhy: učebnice s programem na generování cvičných testů. První vydání. Praha: Grada Publishing, a.s., 2016. 380 stran. ISBN 978-80-247-5871-8. (CS)
Recommended reading
Polidar,V.: Management bank a bankovních obchodů. Praha, Ekopress, 1999
Rejnuš, Oldřich. Finanční trhy. 4., aktualiz. a rozš. vyd. Praha: Grada, 2014. 760 s. Profesional. ISBN 978-80-247-3671-6. (CS)
ŠOBA,O., ŠIRŮČEK, M.: Finanční matematika v praxi. 2., aktualizované a rozšířené vydání, Grada, Praha, 2017. ISBN 978-80-271-0250-1. (CS)
Classification of course in study plans
- Programme BAK-KS Bachelor's
branch BAK-EP-KS , 2 year of study, winter semester, compulsory
branch BAK-UAD-KS , 2 year of study, winter semester, compulsory
Type of course unit
Guided consultation in combined form of studies
Teacher / Lecturer