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Major Finance

Real Estate 13


Master of Science (MSc) in Business Administration

Teaching Objectives

The major finance addresses financing funds, credit instruments, equity instruments, and the application in corporations. Financial managers also need efficient risk management. The major finance combines the necessary knowledge in research and practice. Students should be able to solve financial problems. They will be competent for jobs in industrial corporations and the financial service sector.


Teaching

  • Financial Management
  • Advanced Corporate Finance 

Optional 

  • Financial Risk Management 
  • Credit Risk
  • Case Studies
  • Corporate Valuation
  • Capital Market Theory II
  • Derivatives
  • Financial Engineering
  • Investment and Asset Management
  • Real Estate Investment

Research

  • Empirical Capital Market Research
  • Corporate Valuation
  • Derivatives

1 Prof. Dr. Klaus Röder
2 Prof. Dr. Gregor Dorfleitner
3 Prof. Dr. Alfred Hamerle
4 Prof. Dr. Lutz Arnorld
5 Prof. Dr. Steffen Sebastian


  1. University of Regensburg Homepage

Center of Finance

A joint initiative of the institutes of the Economics Faculty of the University of Regensburg.

 

Cof-right

Spokesmen:

Prof. Dr. Gregor Dorfleitner
Gregor.Dorfleitner@ur.de

Prof. Dr. Steffen Sebastian
Steffen.Sebastian@ur.de