UfA

Unified Financial Analysis, the Missing Links of finance

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Supporting Teaching in Unified Financial Analysis

/ CONTENT

Abstract

Table of Contents

All lectures are combined with our Financial Analysis Laboratory, in short FinAnLab

In this part of the teaching process, students learning how to

  • model the financial markets

  • define the counterparty characteristics

  • map the behaviour characteristics

  • perform valuation and income analysis

  • analyse the Liquidity

  • measure sensitivity and all other types of risks

ALM, Market Risk, Credit Risk, Liquidity Risk, FTP, are some of the typical analysis where students are called to challenge during the execution of FinAnLab.

FinAnLab brings real added value to teaching process as it links theory with the practice as it is employed in real financial industry.

You can download the material used for the FinAnLab.

Master of Science UZH ETH in Quantitative Finance

Banking & Corporate Finance : A unified approach to financial analysis

Excercises of Risk Finance Lab (current)

Description of Risk Finance Lab Part II


/ REVIEWS

Academics

Practitioners

Students

/ TEACHING SUPPORT

Introduction

Lecture Notes

FinAnLab

Exams Support

/ FORUM

Discussion

Questions to Authors

News

/ CONTACTS

Authors

Unified Financial Analysis, the Missing Links of finance