Money, Finance and Risk Management
The course offers the tools for the analysis, measurement and management of the risks typical of the work of other financial intermediaries with an economic, business and quantitative approach. Similarly, this course offers the tools necessary to manage intermediaries and financial investments effectively.
Typically, graduates find employment in banks, AMCs, securities firms (SIMs), insurance companies, credit intermediaries, institutional investors and the financial area of industrial and commercial companies.
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Study Plan
Notices
Useful links
Student Advisory Service
Student representatives
Degree programme committees
COURSE TEACHING REGULATIONS
The teaching regulations specify the organisational aspects of the course, according to the corresponding system, respecting the freedom of teaching and the rights-duties of professors/lecturers and students.
CENTRES AND CONTACTS
Course Educational Services
U.O.C. Servizi Didattici (Educational Services)
Dipartimento di Economia e Management (Department of Economics and Management)
Via S. Faustino 74/B, Brescia
Call Center 800 66 34 23
Contact the Student Administration offices