Finance and risk management
The course equips students with the tools to analyze, measure, and manage the risks inherent in the activities of financial intermediaries, using an economic, business, and quantitative approach.
It also provides in-depth knowledge of the tools required for managing financial intermediaries and investment portfolios, including both traditional and alternative assets.
Graduates typically find employment in banks, asset management companies (SGR), securities firms (SIM), insurance companies, credit intermediaries, institutional investors, as well as in the finance departments of industrial and commercial enterprises.
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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