These, on the one hand, serve solely technical functions and, on the other hand, also the optimisation of the websites, interaction with social media as well as user related advertising on our pages and those of our partners. Only three of twelve German universities had qualified for the German finals. The module aims for you to understand the difference between randomness and systematic skill, especially in the context of financial and economic management. Click on “Understood and continue” to accept the cookies or click on “Settings” to choose your personal cookie settings. español, fr They will recognize potential conflicts in cooperation with others and reflect on them in the context of situation-overlapping conditions. 353 talking about this. In the monetary economics section the course focuses on the functions of money, the money supply and monetary policy transmission process, targets, rules and strategies as well as monetary policies in small open economies. The module aims at analyzing firms in financial distress and developing solutions to improve profitability. A special emphasis is put on the modelling of default dependence. The course emphasises the role of the investment banking financial advisor and the importance in generating and completing deals that are in the best interests of their clients. klaes@em.uni-frankfurt.de. Join now! Special emphasis is put on the modelling of default dependence, which is the central challenge in assessing credit portfolio risk. In 2021, Frankfurt School was ranked second overall in Germany by Eduniversal, as one of three German business schools having a strong global influence. +49 (0)69 6301 5631 sab.schulz@med.uni-frankfurt.de. The Master of Finance, with the Risk Management concentration and the Master in Risk Management & Regulation are the first programmes in Germany to be accredited by GARP as covering at least 70% of the body of knowledge of the Financial Risk Manager (FRM®) Part I examination. In the first part it focus on traditional banks and discuss frictions in financial markets that allows banks to add value as an intermediary. Graduates will be effective communicators in interdisciplinary fields of research and practical business contexts. … Fuller, experts in industrial adhesives, industrial coatings, industrial sealants and specialty materials in two dozen markets. Verwaltungsleitung, Finanzbuchhaltung, IT: Tobias Dettmeier dettmeier@em.uni-frankfurt.de. Benefit from personal conversations with our students and programme directors and find out which programme could help you excel in your career. Stellv. +49 (0)69 6301 7534 hoffmeier@med.uni-frankfurt.de Our Master of Finance concentrations are designed to provide specialised knowledge and skills focused on specific areas of capital markets, corporate finance, risk management and financial advisory. Our Master of Finance alumni have secured jobs in a variety of companies and industries since graduating. You are expected to utilise the resources in our Finance Lab and to complete the Bloomberg Markets Concepts tutorial. e.g. Alles zur Frankfurt University of Applied Sciences und ihren 66 Studiengängen. The module covers the fundamentals of risk processes and governance, the concept of capital coverage, integrated performance as well as the risk categories. Marketing & Recruitment. Graduates will generate insights by applying scientific methods. Access study documents like summaries, lecture notes and exam questions shared by top students from your courses. Kommentare. Frankfurt School´s Master of Finance is a member of the CFA Institute University Affiliation Programme. The course concludes with a discussion of credit analysis, i.e., the evaluation of a firm’s creditworthiness based on their financial reports, and some insights into forecasting (pro-forma) financial statement for equity analysis, business development, consulting, etc. *In order to secure the Early bird discount you must have received an admission letter by 31 March, **In order to secure the discount you must have received an admission letter by 30 June. Every year the university manages to get into the top 5% of the best world universities. We encourage you to complete your application as soon as possible as there are financial advantages for candidates who submit a complete application early. Lianna Mirzoyan IE Business School and Frankfurt School have signed a strategic agreement to launch joint finance education initiatives. this year's guest lecturers in the International Portfolio Management course include Dr. Yuliya Plyakha (Consultant @MSCI Barra), Brian Tomlinson (Director Portfolio Management @Allianz Global Investors), Dr. Stefan Junglen (Head of Fiduciary Risk @Deutsche Asset Management In-depth exposure to market and credit risk allows you to grasp the theories and significance of risk management in financial institutions. Die Universität Bonn zählt zu den bedeutendsten Universitäten Deutschlands und wurde als Exzellenzuniversität ausgezeichnet. Furthermore the module discusses the use of credit derivatives for credit risk management, including pricing and understanding market quotes for credit derivatives. We use stakeholder analysis, including the stakeholder ‘hats’ or capacities, to investigate the social and environmental impacts of business, whilst simultaneously learning about the evolving expectations of business and considering human rights. 1 0. We're sorry but clock doesn't work properly without JavaScript enabled. 16 December: Information for employees: (Work organisation: on site, remote or from home) 15 December: Information for employees, General information 1 December: Information for employees, General information (Mouth-and-nose coverings) and 18 November: Update on Events (Information for employees and General information) 17 November: Information for employees (Home quarantine / … English, es In addition to that members of this concentration will have the opportunity to win the monetary Risk Management award, which will be presented during the graduation ceremony. The annual global competition provides university students with hands-on mentoring and intensive training in financial analysis, testing analytics, valuation, report writing and presentation skills. View of the skyline and the campus of Frankfurt University of Applied Sciences, Germany. you can quantify yield curve risk, apply interest rate derivatives and structured products to manage risks, analyze complex structured products and assess their modeling requirements. Please enable it to continue. In addition, through these concentrations and company projects you have an opportunity to visit established corporations and start-ups. Frankfurt School’s Executive MBA participants get to know their new classmates during an activity-packed weekend. Frankfurt is the commercial hub of Europe where major global corporations, consultancy firms, high-tech industries and startups are located alongside the European Central Bank. You will need to upload the following supporting documents: Each of the documents listed above are required for completing your application. Graduates will have developed a professional identity within the financial sector. Elective options are published at the end of third semester and students must choose 2 elective modules to start in their last semester. Graduates will draw upon expert knowledge and broad, detailed and critical understanding of specifics, limitations and doctrines in different areas of finance to shape responses and independent ideas to business and research opportunities and challenges. Leitung Materialwirtschaft: Philipp Hoffmeier Tel. Take a look at some of their career paths. Candidates applying for this specialisation may be awarded a scholarship covering up to two semester fees. Here we will first discuss the shadow banking sector in general. House of Finance Goethe University Frankfurt Campus Westend Theodor-W.-Adorno-Platz 3 60323 Frankfurt am Main Germany Phone +49 69 798 34053 Email: info@hof.uni-frankfurt.de Emphasis is placed on the development of problem-solving skills, based on a good understanding of the business environment. Students will need to submit their waiver application to programme management by the deadlines provided during the course of studies. We will discuss how to make inferences about strategic and operating business decisions using ratio analyses, highlighting how managerial decisions have direct consequences in financial reports. Doctoral Programme in Accounting, Finance and Management, M&A Glossar Lexikon für Mergers and Acquisitions, Frankfurt School COVID-19 Crisis Response Technical Assistance for SMEs & Financial Institutions, Entrepreneurship@FS Innovative Solutions for a Changing Market, Final Application and Scholarship Deadline, Bureau van Dijk Electronic Publishing GmbH, International and Commercial Bank of China, Alternative Investments / Sustainable Finance, Member of CFA University Affiliation Program, International class with students from 34 nationalities, Access to high-profile practitioners from the corporate world, Extensive network of cooperating companies, universities and, First university degree (Bachelor or Diploma) of at least 180 ECTS credits, irrelevant of discipline, Excellent written and spoken English (TOEFL - 90 iBT, 577, Ranked Top 20 worldwide for Career Services, Rapid expansion in the velocity, variety and volume of financial data, Frankfurt School offers its students the opportunity to develop expertise in data analytics, Prerequisites: Basic understanding of programming and data analysis with Python, Related electives in Semester 4 (Blockchain, Artificial Intelligence etc. Kontakt Dezernent Heiko Wessely Auditorium Maximum. maassen@europa-uni.de . You can find the entire list of electives that we offer for 2020 here. Marketing & Recruitment, Gabrielle Crossley This module covers an extensive discussion of the theoretical and computational tools used in the portfolio analysis and in risk management. Bitte logge dich ein oder registriere dich, um Kommentare zu schreiben. Sie erhalten bei uns Informationen über bestehende Rahmenverträge, den Vertragspartnern der Universität sowie deren Konditionen. Your degree is an investment in your professional future. You are able to apply advanced knowledge for assessing interest rate risk, i.e. It emphasizes the role of financial statement data in equity valuation, using advanced cases from and around actual financial statements.
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