06271767.htm

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<title>Universitt Liechtenstein / C12_Risk Management & Financial Institutions (WS 21/22)</title>
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                  <th width="20%" align="left" nowrap>LV-Nr</th>
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                  <td valign="top" nowrap>5206693</td>
                  <td valign="top"><h2 style="margin: 0px; padding: 0px;">C12_Risk Management & Financial Institutions<!----></h2></td>
                  <td valign="top" nowrap>WS 21/22</td>
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                  <th width="20%" align="left" nowrap>LV-Art</th>
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Vorlesung</td>
                  <td valign="top" nowrap><!---->5<!----><!----></td>
                  <td valign="top" nowrap><!---->30.0<!----></td>
                  <td valign="top" nowrap><!---->67.5<!----></td>
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		       <!----><h2>Module</h2><!----><A HREF="../00022200/06269767.htm">C12_Risk Management, Financial Institutions & Research Seminar 7435 1 WS 21/22, Modul</A><br/><!---->


        <!----><h2>Dozierende</h2>
        <p><!----><!----><!----><!----><!---->Angerer, Martin<br><!----><!----><!----><!----><!---->Hanke, Michael<br><!----><!----><!----><!----><!---->Menichetti, Marco J.<br><!----><!----><!----><!----><!---->St&ouml;ckl, Sebastian<br><!----><!----><!----><!----><!----><!----></p><!---->
		
        <!----><h2>Modulleitung</h2>
        <p><!----><!----><!---->Herrmann-Meng, Matthias<br><!----><!----><!----><!----><!----><!----><!----><!----><!----><!----><!----><!----></p><!---->
		
        <!----><h2>Studienplan</h2>
        <p><!---->BSc BWL 12<br></p><!---->
		
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     	  <!----><h2>Lerninhalte</h2>
        <p>Risk Management: <br/><ul style='margin-top:0px; margin-bottom:0px'><li>Identification, measuring and controlling financial risks.</li><li>Classes of Risk</li><li>Hedging strategies</li><li>The risk management process</li></ul><br/>Financial Institutions: <br/><ul style='margin-top:0px; margin-bottom:0px'><li>Importance and roles of the main actors on capital and financial markets, basic knowledge of finance intermediation, regulation of banks.</li><li>Financial Intermediation</li><li>Bank regulation</li></ul></p><!---->
   
        <!----><h2>Lehrmethode</h2>
        <p>Lecture</p><!---->
  
  <!----><h2>Sprache</h2>
        <p>Englisch</p><!---->
    
    <!----><!---->
  
  <!----><h2>Lehrmittel</h2>
        <p>1)     Hull, J. (2012). Risk Management and Financial Institutions (3rd ed.). New Jersey: Wiley.<br/>2)     Hull, J. (2012). Options, futures, and other derivatives (8th ed.).  Boston: Pearson/Prentice Hall.<br/>3)     Greenbaum, S.I., Thakor, A.V., & Boot, A.W.A. (2016). Contemporary Financial Intermediation (3rd ed.).  Amsterdam, London: Elsevier.</p><!---->
  
         <!----><h2>Prfungsmethoden</h2>
        <p><ul style='margin-top:0px; margin-bottom:0px'><li>written examination</li></ul></p><!---->
 
 <!----><h2>Termine</h2><!---->S10 (Fabrikweg)	Di     wtl	15.15-16.45	14.09.-26.10.2021	-    	Hanke, M.<br/><!---->S10 (Fabrikweg)	Di     wtl	15.15-16.45	02.11.-14.12.2021	-    	Menichetti, M. J.<br/><!---->

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       <p><small>&nbsp;<br>06.09.2021 10:19:00"&nbsp;&Auml;nderungen vorbehalten</small></p>

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