BAI-1 Be able to monitor and analyze the dynamics of banking and financial markets.
BAI-2 Be able to utilize the basic knowledge that obtained with an interdisciplinary approach to business, economics, etc. in creating expertise in the fields of Banking and Insurance in accordance with the requirements of the globalized business environment.
BAI-3 Be able to identify and analyze the validity of theories related to the banking and insurance and their relationships with current conditions.
BAI-4 Have a good knowledge of the regulations and legislation underpinning the financial markets and institutions.
BAI-5 Be able to use quantitative techniques and methods that are predominantly used in banking and insurance.
BAI-6 Be able to use the theoretical and practical knowledge obtained in his/her field in analyzing and evaluating data.
BAI-7 Be able to construct, analyze and interpret financial and economic models
BAI-8 Be able to understand and evaluate the problems in baking and insurance and to discuss and express his/her opinions clearly.
BAI-9 Gain self-evaluation skills to identify exactly his/her self-learning and self-improvement needs, being at the same time equipped with the capacity to follow advanced courses and degree studies.
BAI-10 To maintain scientific, social, and ethical standards when collecting, interpreting, and disseminating financial information, and in application of financial ideas.
BAI-11 Be able to know the mechanism how the banking sector works in the global economy.
BAI-12 Be able to have the practical implications of the insurance policy in financial sector.