Semester:WS 17/18
Art:Modul/LV/Prüfung
Sprache:Englisch
ECTS-Credits:3.0
Plansemester:3
Lektionen / Semester:28.0 L / 21.0 h
Selbststudium:69.0 h
Art:Modul/LV/Prüfung
Sprache:Englisch
ECTS-Credits:3.0
Plansemester:3
Lektionen / Semester:28.0 L / 21.0 h
Selbststudium:69.0 h
Modulleitung/Dozierende
- Prof. Dr. Marco J. Menichetti
(Modulleitung)
- Florian Schaller, MSc
(Co-Modulleitung)
Studiengang
Masterstudium Finance (01.09.2015)Lehrveranstaltungen
Beschreibung
- Application of strategy concepts
- Dealing with bank-specific controlling instruments and information media
- Result effects of risks, structuring of conditions, balance sheet structure,
- Implementation of a bank strategy in terms of product, personnel and marketing
- Reaction to change in framework conditions
Lernergebnisse
- Based on the strategic analysis instruments, applying various strategy concepts regarding
- Recognizing the connections between and effectiveness of the sub-areas of comprehensive bank management on the bank balance sheet and profit and loss statement
- Evaluating incomplete information and risk assessment for a bank
- Recognising, correcting and integrating deviations/erroneous trends in the course of the
Kompetenzen
Lehrmethoden
Business Game
Literatur
Required reading:
Business Game Manual
Recommended reading:
- Hempel, G.H., & Simonson, D.G. (1999). Bank Management: Text and Cases. 5th edition. London: Wiley.
- Koch, T., & MacDonald, S.S. (2009). Bank Management. 7th edition. Mason (OH): South-Western College.