Course title | Corporate Finance |
---|---|
Course code | KUF/BZPFN |
Organizational form of instruction | no contact |
Level of course | Bachelor |
Year of study | not specified |
Semester | Winter and summer |
Number of ECTS credits | 0 |
Language of instruction | Czech |
Status of course | Compulsory-optional |
Form of instruction | Face-to-face |
Work placements | This is not an internship |
Recommended optional programme components | None |
Lecturer(s) |
---|
|
Course content |
1. Time value of money. 2. Assets structure and capital structure. 3. Cash flow. 4. Current assets - Inventories. 5. Current assets - Receivables. 6. Current assets - Cash. 7. Resources of short-term financing. 8. Internal resources of long-term financing. 9. External sources of long-term financing. 10. Evaluation of investment projects. 11. Risk in the investment decision-making. 12. Financial analysis. Analysis of financial ratios. 13. Systems of financial ratios. Economic value added.
|
Learning activities and teaching methods |
unspecified |
Learning outcomes |
The main aim of this course is to provide students with the basic knowledge for financial management and financial decision-making in market economics. The second aim of course is to provide students with knowledge of the main characteristics of investment instruments, legal form of securities, types of securities and upon them sequent discretions and duties, emission terms of various types of securities.
Students know basic terminology, theoretical principles, and method used in the field of finance management, financial analysis. Students are able to apply the acquired knowledge in practice. |
Prerequisites |
(KUF/FNP1 Corporate Finance 1, KUF/FA)
KUF/FA ----- or ----- KUF/KFA ----- or ----- KUF/YFA and KUF/CFP1 ----- or ----- KUF/FNP1 ----- or ----- KUF/FP1 ----- or ----- KUF/KFP1 |
Assessment methods and criteria |
Oral examination
Students have to prove their complex understanding of the basic terminology and principles of corporate finance, securities. They have to be able to respond to particular questions and to apply theoretical knowledge in practical examples. |
Recommended literature |
|
Study plans that include the course |
Faculty | Study plan (Version) | Category of Branch/Specialization | Recommended semester | |
---|---|---|---|---|
Faculty: Faculty of Economics | Study plan (Version): Financial and Insurance Mathematics (4) | Category: Mathematics courses | 3 | Recommended year of study:3, Recommended semester: Summer |