Cari tutti,
vi pregherei di far circolare anche presso i colleghi Economisti di area Aziendale [SECS P09 e affini] la notizia di bando qui sotto.
E' stato bandito un corso di "Risk Assessment and Management", Secs P09, per il corso di Laurea Magistrale in Economics & Finance (LM-16,
http://www.mef.unimi.it).
More details on the course:
TITLE: Risk Assessment and Management
LANGUAGE: English
CONTENT: The course (40h) to be held on the third trimester 2015 should focus on risk management in the context of portfolios of stocks and fixed income securities along these lines:
* fixed income securities: pricing, term structure relationships, interest-rate risk management;
* equity securities: valuation models, financial statement analysis, price risk management;
* options, futures and other derivatives: valuation and risk management.
DEADLINE: 22.1.2105
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Stefano M. Iacus
Director of MEF - Master in Economics & Finance
http://www.mef.unimi.it
Department of Economics,
Management and Quantitative Methods
University of Milan
Via Conservatorio, 7
I-20123 Milan - Italy
Ph.: +39 02 50321 461
Fax: +39 02 50321 505
Twitter: @iacus
Master in Economics & Finance
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