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Teaching activities 2013/14
Finance and quantitative methods for economics [LM-16] D. M. 270/2004
Degree course in Finance and quantitative methods for economics [LM-16] D. M. 270/2004
Curriculum
FINANZA E ASSICURAZIONE (Classe LM 16) (Regulations 2012)
FINANZA E ASSICURAZIONE (Classe LM 83) (Regulations 2012)
STATISTICA PER L'ECONOMIA E LA FINANZA (Classe LM 83) (Regulations 2012)
STATISTICA PER L'ECONOMIA E LA FINANZA (Classe LM 16) (Regulations 2012)
Curriculum: FINANZA E ASSICURAZIONE (Classe LM 16) (Regulations 2012)
Study-unit
Year
ECTS
Insurance law
1
6
Econometrics
1
6
Corporate finance
1
9
Mathematical methods for risk management
1
9
Statistical methods for finance
1
6
Mathematical models for financial markets
1
9
Economic and financial policy
1
6
Private banking and asset management
1
6
Statical models for credit scoring
2
6
Insurance
2
12
Finance and insurance
2
12
Financial hedging and risk management
2
6
Curriculum: FINANZA E ASSICURAZIONE (Classe LM 83) (Regulations 2012)
Study-unit
Year
ECTS
Insurance law
1
6
Econometrics
1
6
Corporate finance
1
9
Mathematical methods for risk management
1
9
Statistical methods for finance
1
6
Mathematical models for financial markets
1
9
Economic and financial policy
1
6
Private banking and asset management
1
6
Statical models for credit scoring
2
6
Insurance
2
12
Finance and insurance
2
12
Financial hedging and risk management
2
6
Curriculum: STATISTICA PER L'ECONOMIA E LA FINANZA (Classe LM 83) (Regulations 2012)
Study-unit
Year
ECTS
Insurance law
1
6
Econometrics
1
6
Corporate finance
1
9
Mathematical methods for risk management
1
9
Statistical methods for corporate finance
1
12
Mathematical models for financial markets
1
9
Economic and financial policy
1
6
Private banking and asset management
1
6
Economic time series
2
6
Economic statics
2
6
Actuarial mathematics
2
6
Finance and insurance
2
12
Curriculum: STATISTICA PER L'ECONOMIA E LA FINANZA (Classe LM 16) (Regulations 2012)
Study-unit
Year
ECTS
Insurance law
1
6
Econometrics
1
6
Corporate finance
1
9
Mathematical methods for risk management
1
9
Statistical methods for corporate finance
1
12
Mathematical models for financial markets
1
9
Economic and financial policy
1
6
Private banking and asset management
1
6
Economic time series
2
6
Economic statics
2
6
Actuarial mathematics
2
6
Finance and insurance
2
12
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