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Piano di studi del Corso di Laurea Magistrale in Finance and Risk Management LM-16

 

Students of the MSc will gain an indepth grounding with core courses in corporate finance, financial markets, quantitative and computational finance, before tailoring the degree to your goals with a range of multiple choice courses, including some specifically designed applied courses.

Mandatory courses

Quantitative Finance and Derivatives 9 ETCS
Computational Finance 6 ETCS
Corporate Finance 6 ETCS
Corporate Governance and Financial Institutions 12 ETCS
Computational economics 6 ETCS
European Capital Market Law 6 ETCS
Financial Statement Analysis 6 ETCS
Econometrics of Financial Markets 9 ETCS
Quantitative Risk Management - with MATLAB modulus 6 ETCS

Multiple choice courses

Choose one from 12 ETCS
- Insurance and Risk models
- Pensions, Solvency and Financial Reporting
- Portfolio choice and Bond Markets
Choose one from 9 ETCS
- Bank Management and Sustainable Finance
- Private equity Risk management and due-diligence 
Choose 6 ETCS from
- Internship
- Workshop in Corporate finance
- Workshop in Machine learning for Finance ad Insurance
- Workshops in collaboration with Financial Industries
Choose one from optional courses 9 ETCS
- International accounting
- Mathematics for Economics
- Insurance and Risk models – mod.A
- Pensions, solvency and financial reporting – mod.A
- Portfolio choice and Bond Markets – mod.A
- Bank Management and Sustainable Finance
- Private equity Risk management and due-diligece
Consulta la brochure e la pagina web del Corso di Laurea Magistrale in Finance and Risk Management

Ultimo aggiornamento

18.04.2024

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