Tipologia di corso
Laurea Magistrale o V.OrdinamentoClasse di laurea
Finanza(LM-16)Ateneo universitario
Università degli Studi di BOLOGNASede didattica
BOLOGNALingua
INGLESEModalità di accesso
Accesso liberoDurata
2 ANNITitolo per l'accesso
Laurea triennaleArea disciplinare
Scienze economiche e statisticheINSEGNAMENTI
- PROBABILITY [cod. 81624]
- STOCHASTIC PROCESSES [cod. 93013]
- CALCULUS [cod. 75376]
- ACTUARIAL MATHEMATICS [cod. 75319]
- COMPUTER PROGRAMMING [cod. 37262]
- FINANCIAL MATHEMATICS [cod. 75318]
- ECONOMICS OF FINANCIAL MARKETS [cod. 37264]
- CORPORATE FINANCE [cod. 48144]
- FINANCIAL RISK MANAGEMENT [cod. 35817]
- FINANCIAL MARKET REGULATION [cod. 37265]
- NUMERICAL METHODS [cod. 35433]
- ADVANCED TOPICS IN LIQUIDITY MANAGEMENT IN THE POST CRISIS ERA [cod. 81626]
- ECONOMETRICS OF FINANCIAL MARKETS [cod. 37269]
- FINANCIAL ENGINEERING FOR ASSET MANAGEMENT [cod. 75374]
- STATISTICS OF FINANCIAL MARKETS [cod. 75371]
- STATISTICAL METHODS FOR ASSET MANAGEMENT [cod. 37757]
- ADVANCED INTEREST RATE MODELS AND MARKETS [cod. 94424]
- NON-LIFE INSURANCE [cod. 87279]
- ECONOMETRICS [cod. 75367]
- ENERGY MANAGEMENT [cod. 84216]
- FUNDAMENTALS OF INTEREST RATE MODELS [cod. 94423]
- LIFE INSURANCE [cod. 87278]
- ADVANCED METHODS OF RISK MANAGEMENT 1 [cod. 75447]
- MARKET MICROSTRUCTURE AND HIGH FREQUENCY FINANCE [cod. 87280]
- COMPUTATIONAL FINANCE [cod. 93008]
- ADVANCED METHODS OF RISK MANAGEMENT 2 [cod. 75448]
- CREDIT DERIVATIVES [cod. 37281]
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