Dr Włodzimierz Rudny
University education:
MA Economics 1977 - Academy of Economics, Katowice
MA Linguistics (English) 1981 - University of Silesia, Katowice
Ph D 1986 - Academy of Economics, Katowice
Employment:
1977 - continued Academy of Economics, Katowice, Poland Secondments to companies and universities:
July 1990 - January 1991 Unilever PLC, Corporate Development & Economics Dpt, London (business analyst)
August 1992 - June 1993 European Center of Miami University (Ohio) in Luxembourg (Visiting Professor; full-time teaching position)
Research and study abroad:
January 1988 - November 1988 School of European Studies, Sussex University, Brighton, England
March 1990 - April 1990 Small Business Center, Durham University, Durham, England
Major courses and seminars attended :
Business Strategies (Sussex University, June 1988)
Small Business Management (Durham University, March 1990)
Businessn Restructuring (Pułtusk, Poland, July 1992 - World Bank seminar)
Teaching experience:
1. Academy of Economics, Katowice.
Subjects taught:
- General Management
- Managerial Economics
- Financial Management
- Investments
2. Management College, Katowice.
Subjects taught:
- Financial Management
- Money and Capital Markets
- Investments
3. Warsaw Polytechnic Business School (MBA Programme).
Subject taught:
- Corporate Finance
- Financial Accounting
- Management Accounting
4. Miami University European Center, Luxembourg.
Subjects taught:
- International Finance
- Money and Capital Markets
- European Integration
Selected recent publications:
1. Instrumenty derywatywne w zarządzaniu ryzykiem finansowym.
"Dom Ekonomisty" Biuletyn Naukowo-Informacyjny PTE 4/1994, Katowice
[Derivative instruments and risk management]
2. Aktywne i pasywne inwestowanie w strategii rozwoju przedsiębiorstwa. (pr. zbior.pod red. B. Woźniak-Sobczak) AE Katowice,1995 (badania statutowe)
[Investment strategies for business development]
3. Zarządzanie ryzykiem finansowym przy wykorzystaniu kontraktów terminowych. AE Katowice, 1995 (badania statutowe)[Futures and FRAs in financial risk management]
4.Wykorzystanie kontraktów terminowych w hedgingu. w: “Przedsiębiorstwo i jego otoczenie” (pr.zbior.) Centrum Badań i Ekspertyz, AE Katowice, 1996.
[Hedging with financial futures]