Bachelor Seminar 1

• Scientific-practical problems from the fields of financial market theory, corporate finance in the context of real/realistic projects in cooperation with companies, or • Current problems in the areas of financial market theory and corporate finance • Compilation, discussion and evaluation of literature sources

Mode of delivery

face to face

Type

compulsory

Recommended or required reading and other learning resources/tools

Alley, The craft of scientific writing, 4th edition, Springer, 2018 Essays and studies on the respective topics

Planned learning activities and teaching methods

Seminar (SE), Introduction to the preparation of seminar papers and to the overall seminar topic by the lecturer; preparation of the seminar papers by the students; presentation and discussion of the seminar papers

Assessment methods and criteria

Written seminar paper and student contributions in class

Prerequisites and co-requisites

Corporate Finance, Fixed Income, Options, Equity and Portfolio Selection, Descriptive Statistics, Inferential Statistics

Infos

Degree programme

Banking and Finance (engl.)

Cycle

Bachelor

ECTS Credits

6.00

Language of instruction

English

Curriculum

Full-Time

Academic year

2022

Semester

5 WS

Incoming

No

Learning outcome

After the successful completion of the seminar, students can • identify the practical issues in the areas of financial market theory and corporate finance in a practice-oriented professional context • analyse these questions using scientific methods and create practical solution steps from the results of the analysis

Course code

1229-19-01-VZ-EN-49