Subject Areas

Ø The markets in financial instruments directive (MiFID)

Ø Credit risk: corporate rating modeling

Ø Specialized lending

Ø Credit Portfolio Management

Ø Economic and Regulatory Capital Calculation and Management

Ø Credit Derivatives

Ø Market risk: asset risk modeling

Ø Performance evaluation and valuation

Ø Corporate finance

Ø Applied economics

Ø Quantitative financial modeling

Ø Tool design and building

Ø Financial Management

Ø Corporate Finance

Ø Intermediate Financial Accounting

Ø Business Communication

Ø Business Management

Ø Human Resource Management

Ø Managerial Accounting

Ø Financial Accounting

Ø Management of Small and Medium Enterprises

Ø Business statistics

Ø Decision support systems and business management

Ø Efficiency and productivity

Ø Expert systems and computational finance

Ø Firm performance

Ø Funding decisions

Ø Imperfections in financial markets

Ø Multiple criteria decision making

Ø Optimization in finance

Ø Portfolio optimization

Ø Production management

Ø Quantitative methods in finance

Ø  Valuation of financial instruments