This course is part of the degree programme in Financial analysis, consulting and management
|Professor||prof. Costanza TORRICELLI|
Brief content description
The course aims at enabling students to understand problems related to the measurement and control of financial risks with special attention to market and credit risk. The issues will be analysed mainly at a quantitative placing also attention to the current Bael regulatory framework.
How to apply for a single course
please refer to Secretarial Office (italian website)