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Detailed information |
Original study plan |
Bachelor's programme (*)Betriebswirtschaftslehre 2021W |
Objectives |
Application of the acquired skills of the courses Corporate Finance and Asset Management in order to solve practice-oriented case studies and examples
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Subject |
This course deals with the topics of financial analysis, liquidity management, bonds, futures and options as well as interest risk and currency risk management.
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Criteria for evaluation |
Written exam and interactive elements (case study, presentation of calculations, etc.)
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Methods |
Self-study, group work, lectures
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Language |
German |
Study material |
- Guserl/Pernsteiner, Finanzmanagement, Springer Gabler: Wiesbaden (in the most recent edition)
- Perridon/Steiner/Rathgeber, Finanzwirtschaft der Unternehmung, Vahlen: München (in the most recent edition)
- Steiner/Bruns, Wertpapiermanagement, Schäffer-Poeschel: Stuttgart (in the most recent edition)
- Copeland/Koller/Murrin, Unternehmenswert, Campus: Frankfurt/Main (in the most recent edition)
- Hull, Optionen, Futures und andere Derivate, Pearson Studium: München (in the most recent edition)
- Zantow/Dinauer, Finanzwirtschaft der Unternehmung, Pearson Studium: München (in the most recent edition)
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Changing subject? |
No |
Earlier variants |
They also cover the requirements of the curriculum (from - to) 572BFINGRUU15: IK Principles in Finance (Cases) (2015W-2020S) 2BFWIK1: IK Principles in Finance (Cases) (2001W-2015S)
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