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MSc in Economics and Business Administration in Finance and Investments

Fin­an­cial In­ter­me­di­ation

About the course

What you will learn

  • to understand the business model of a bank, including the composition of assets and liabilities, the sources of earnings, the associated risks, and how banks are regulated.
  • to apply relevant pricing models for analyzing risk and return of instruments like bank equity, bank debt, hybrid instruments, loans and loan portfolios.
  • to understand the role of banks in domestic and international payment systems, and the role of banks in monetary policy implementation.