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Corso di Laurea Magistrale in Finance and Risk Management

2012 / 2013

Course Credits Semester Lecturer
First Year
Quantitative Finance and Derivatives
I M.E. Mancino
Computational Finance 6 I L.Geronazzo
Quantitative Risk Management
II  G.Puccetti
Corporate Finance 9 I O.Roggi
Corporate Governance and Financial Institutions 12 II S. De Masi & F.Ielasi 
Financial Services and Markets Laws 6 II F.Zatti 
International Financial Economics 6 II G.Cifarelli
Second Year
Merger & Acquisition Valuation 6 I O.Roggi
Financial Statement Analysis 6 II F.Giunta
Econometrics of Financial Markets 9 II G.Calzolari
Choose one between
     Risk Theory and Solvency Models 12 I  A.Iannizzotto & I.Colivicchi
     Portfolio Choice and Optimization 12 I C.Mancini & P.Zezza
Optional Course (1) 9 II  
Other activities (2) 6 II  
Final Dissertation 18    

 

               (1) Optional courses can be chosen from here

               (2) Other activities: includes laboratory, stage, English for Business and Finance, other courses needed to enter the job market

  
 
last update: 05-May-2017
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