This course is aimed at students who would like to learn more about the world of environmental, social and governance (ESG) investing and sustainable finance. It provides an overview of the most relevant aspects of ESG and sustainable investing which are presented in a way that should nurture critical thinking.
This course provides the core knowledge for financial risk managers. It provides a strong foundation for understanding how financial risks are identified, measured, and controlled in today’s complex markets. It covers key themes in risk management, including credit, market, interest rate, and operational risks, as well as the regulation of financial institutions and emerging topics such as ESG.
Course textbook: Introduction to Machine Learning with Python: A Guide for Data Scientists by Andreas C. Müller und Sarah Guido.
Course textbook: Corporate Finance by Jonathan B. Berk and Peter DeMarzo.
Course textbook: Corporate Finance by Jonathan B. Berk and Peter DeMarzo.
Course textbook: Einführung in die Betriebswirtschaftslehre by Werner Neus.