Summary
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Euro-Philippine
Network in Banking and Finance |
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#students |
Topic |
Date |
Speaker |
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A. Asialink-funded |
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UP Baguio |
64 |
Corporate Governance |
10-May-07 |
Arthur
Cayanan |
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UP Iloilo |
68 |
Portfolio Theory |
5-Jun-07 |
Daniel
Vincent Borja |
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Bank Regulation |
5-Jun-07 |
Santos
Jose Dacanay III |
|
UP Cebu |
57 |
Corporate Governance |
8-Jun-07 |
Aliza
Racelis |
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Financial Derivatives |
8-Jun-07 |
Dani Rose
Salazar |
|
UP
Mindanao |
52 |
Corporate Governance |
12-Jun-07 |
Aliza
Racelis |
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Financial Derivatives |
12-Jun-07 |
Dani Rose
Salazar |
|
UP Los
Baños |
68 |
Bank Theory |
24-Aug-07 |
Amelia Bello |
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Financial Derivatives |
24-Aug-07 |
Crisanto
Dorado |
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Value-at-Risk |
24-Aug-07 |
Normito
Zapata, Jr |
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SUBTOTAL |
309 |
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B. Other Echo Seminar |
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UP Baguio |
14 |
Intro to Corporate Governance |
11-Apr-06 |
Santos
Jose Dacanay III |
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14 |
Corporate Governance Issues |
11-Apr-06 |
Jay
Stephen Siy |
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17 |
Banking Regulation |
18-Nov-06 |
Santos
Jose Dacanay III |
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19 |
Financial Derivatives |
25-Nov-06 |
Priscilla
Macansantos |
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19 |
Risk Management |
25-Nov-06 |
Priscilla
Macansantos |
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|
13 |
Financial Macroeconomics |
12-Feb-06 |
Lorelei
Mendoza |
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|
13 |
Philippine Financial Market |
12-Feb-06 |
Arturo
Boquiren |
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SUBTOTAL |
63 |
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TOTAL |
372 |
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Euro-Philippine
Network in Banking and Finance |
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Topic |
Academic
Progam |
Course |
Date |
#students |
|
A. UP Diliman |
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A.1
Undergraduate Program |
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1.
Portfolio Theory |
BS BAA |
BA 146 |
1st
Sem, AY 06-07 |
17 |
|
|
|
|
1st
Sem, AY 07-08 |
20 |
|
2.
Derivative Assets |
BS BAA |
BA 146 |
1st
Sem, AY 06-07 |
17 |
|
|
|
|
1st
Sem, AY 07-08 |
20 |
|
A.2
Graduate Program |
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3.
Financial Macroeconomics |
MBA |
BA 201 |
1st
Trim, AY 06-07 |
95 |
|
|
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|
1st
Trim, AY 06-07 |
105 |
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4.
Philippine Financial Market |
MBA |
BA 201 |
1st
Trim, AY 06-07 |
95 |
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SUBTOTAL |
369 |
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B. UP Baguio |
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B.1
Undergraduate Program |
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1. Banking
Theory |
BA Soc Sci
(Econ) |
Econ 121 |
1st
Sem, AY 06-07 |
26 |
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|
2nd
Sem, AY06-07 |
39 |
|
2. Banking
Regulation |
BA Soc Sci
(Econ) |
Econ 121 |
1st
Sem, AY 06-07 |
26 |
|
|
|
|
2nd
Sem, AY06-07 |
39 |
|
3. Risk
Management for Banks |
BA Soc Sci
(Econ) |
Econ 121 |
1st
Sem, AY 06-07 |
26 |
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and
Financial Insitutions |
|
|
2nd
Sem, AY06-07 |
39 |
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4. Financial
Macroeconomics |
BA Soc Sci
(Econ) |
Econ 121 |
1st
Sem, AY 06-07 |
26 |
|
|
|
|
2nd
Sem, AY06-07 |
39 |
|
|
|
Econ 141 |
1st
Sem, AY 06-07 |
34 |
|
|
|
|
2nd
Sem, AY06-07 |
32 |
|
5.
Corporate Governance |
BA Soc Sci
(Econ) |
Econ 151 |
1st
Sem, AY 06-07 |
41 |
|
|
|
|
2nd
Sem, AY06-07 |
31 |
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6. Financial
Institutions |
BA Soc Sci
(Econ) |
Econ 191 |
1st
Sem, AY 06-07 |
37 |
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and
Corporate Governance |
|
|
2nd
Sem, AY06-07 |
16 |
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7.
Portfolio Theory |
BA Soc Sci
(Econ) |
Econ 121 |
1st
Sem, AY 06-07 |
26 |
|
|
|
|
2nd
Sem, AY06-07 |
39 |
|
8.
Derivative Assets |
BA Soc Sci
(Econ) |
Econ 121 |
1st
Sem, AY 06-07 |
26 |
|
|
|
|
2nd
Sem, AY06-07 |
39 |
|
9.
Philippine Financial Markets |
BA Soc Sci
(Econ) |
Econ 121 |
1st
Sem, AY 06-07 |
26 |
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|
|
|
2nd
Sem, AY06-07 |
39 |
|
B.2
Graduate Program |
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1. Banking
Theory |
Masters in
Mgmt |
MM 220 |
1st
Sem, AY 06-07 |
28 |
|
|
|
|
2nd
Sem, AY06-07 |
13 |
|
2. Banking
Regulation |
Masters in
Mgmt |
MM 222 |
1st
Sem, AY 06-07 |
13 |
|
|
|
|
2nd
Sem, AY06-07 |
14 |
|
3. Risk
Management for Banks |
Masters in
Mgmt |
MM 222 |
1st
Sem, AY 06-07 |
13 |
|
and
Financial Insitutions |
|
|
2nd
Sem, AY06-07 |
14 |
|
4.
Financial Macroeconomics |
Masters in
Mgmt |
MM 222 |
1st
Sem, AY 06-07 |
13 |
|
|
|
|
2nd
Sem, AY06-07 |
14 |
|
5.
Corporate Governance |
Masters in
Mgmt |
MM 298 |
1st
Sem, AY 06-07 |
10 |
|
|
|
|
2nd
Sem, AY06-07 |
0 |
|
6.
Financial Institutions |
Masters in
Mgmt |
MM 220 |
1st
Sem, AY 06-07 |
28 |
|
and
Corporate Governance |
|
|
2nd
Sem, AY06-07 |
13 |
|
|
|
MM 222 |
1st
Sem, AY 06-07 |
13 |
|
|
|
|
2nd
Sem, AY06-07 |
14 |
|
7.
Portfolio Theory |
Masters in
Mgmt |
MM 222 |
1st
Sem, AY 06-07 |
13 |
|
|
|
|
2nd
Sem, AY06-07 |
14 |
|
8.
Derivative Assets |
Masters in
Mgmt |
MM 222 |
1st
Sem, AY 06-07 |
13 |
|
|
|
|
2nd
Sem, AY06-07 |
14 |
|
9. Philippine
Financial Markets |
Masters in
Mgmt |
MM 220 |
1st
Sem, AY 06-07 |
28 |
|
|
|
|
2nd
Sem, AY06-07 |
13 |
|
|
|
MM 222 |
1st
Sem, AY 06-07 |
13 |
|
|
|
|
2nd
Sem, AY06-07 |
14 |
|
|
|
|
|
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C. UP Tacloban |
|
|
|
|
|
1.
Derivative Assets |
Undergraduate |
Econ 121 |
28-Mar-07 |
35 |
|
|
|
|
GRAND TOTAL |
1,372 |
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