Doctoral degree inor form. The language of instruction is Czech.
The programme can be studied only as a single subject.
Admission procedure into PhD programmes 2022/2023 (Spring semester 2023)
Submission deadline until midnight 30 November 2022.
The programme’s goal is to develop students into top specialists in specific scientific disciplines focused on financial systems. Graduates should be ready to take on further scientific careers in academic institutions, but also for possible employment in companies with research facilities. The program covers, among other things, the following research themes in which doctoral students are also trained:
Behavioral Finance - effects of heuristics and biases on investor behavior
“Finance moves the world!”
Usability of technical and fundamental analysis methods in trading on financial markets
Stock markets volatility and its prediction
Impact assessment of systemically important financial institutions (SIFIs) on the European banking market
Principles, causes, and manifestations of asymmetric information in insurance
The study of the doctoral study program is focused on scientific research and independent creative activity in the field of financial research. The aim is to deepen the knowledge gained by previous studies and to develop the prerequisites and abilities of a creative scientific approach to exploring and solving economic and especially financial issues.
Practice is not an obligatory part of a study.
Graduates of a doctoral degree program are qualified to work especially in research institutes and workplaces or as university lecturers. They are authorized to conduct independent scientific and research activities in basic and applied research. In the most general sense, they are considered qualified for any kind of scientific work, that is dealing with conceptual issues, participating in and managing scientific research activities, and teaching.
Upon graduation, the graduate is capable of independent scientific work dealing with finance issues or gaining highly qualified positions in the field of optimization of management processes in financial institutions, setting of methodology including proposals for regulation of legislative regulations, securing business and financial risks and creation of optimal investment and financial strategy of enterprises. Graduates of the doctoral program are also qualified for research and teaching purposes at colleges and universities.
|Provided by||Faculty of Economics and Administration|
|Type of studies|
|Standard length of studies||4 years|
|Language of instruction||Czech|
|Doctoral board and doctoral committees|
Do you have any questions?
Send us an e-mail
doc. Ing. Eva Vávrová, Ph.D.