الملف الشخصي: Gianluca Fusai
Gianluca Fusai
Studia, , e passerai l'esame .
الدولة: | إيطاليا |
---|---|
المدينة/البلدة: | Novara |
صفحة الويب: | http://semeq.unipmn.it/?q=fusai |
المقررات الدراسية
Treasury :
1.1 Treasury in a nutshell
1.2 Interest rate Risk, Rotation Risk and Basis Risk
1.3 Prepayment Risk, mortgages convexity and behavioral modeling
2.4 Instruments for managing IRR
2.5 Bloomberg functions
Bank Finance:
2.1 Promise of return on equity to shareholders
2.2 Focus on some activities to manage return on equity and costs
2.3 Some hints about “shareholders promise on cost management”
1.1 Treasury in a nutshell
1.2 Interest rate Risk, Rotation Risk and Basis Risk
1.3 Prepayment Risk, mortgages convexity and behavioral modeling
2.4 Instruments for managing IRR
2.5 Bloomberg functions
Bank Finance:
2.1 Promise of return on equity to shareholders
2.2 Focus on some activities to manage return on equity and costs
2.3 Some hints about “shareholders promise on cost management”
- معلم: Gianluca Fusai
- معلم: Federico Gorini
- معلم: Marina Villa
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Loredana Pennone
- معلم: Gianluca Fusai
- معلم: Annamaria Gambaro
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Loredana Pennone
- معلم: Gianluca Fusai
- معلم: Federico Gorini
- معلم: Marina Villa
- معلم: Gianluca Fusai
- معلم: Ioannis Kyriakou
- معلم: Gianluca Fusai
- معلم: Raffaele Zenti
- معلم: Gianluca Fusai
- معلم: Ioannis Kyriakou
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Gianluca Fusai
- معلم: Ioannis Kyriakou
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Gianluca Fusai
- معلم: Gianluca Fusai
- معلم: Annamaria Gambaro
- معلم: Gianluca Fusai
- معلم: Ioannis Kyriakou
- معلم: Carmen Aina
- معلم: Gianluca Fusai
- معلم: Anna Menozzi
- معلم: Chiara Morelli
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Francesca Centrone
- معلم: Gianluca Fusai
- معلم: Caterina May
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Francesca Centrone
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- Docente: Gianluca Fusai
- Docente: Giovanni Longo
- معلم: Gianluca Fusai
- معلم: Caterina May
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
Il corso è suddiviso in 2 moduli ciascuno di 30 ore. Il primo titolato: METODI MATEMATICI PER I MERCATI FINANZIARI Il secondo titolato: TEORIA MATEMATICA DEL PORTAFOGLIO FINANZIARIO Obiettivi formativi: L'obiettivo del primo modulo è la presentazione dei principali modelli matematici per la valutazione di strumenti derivati, sia azionari sia relativi al reddito fisso. Si implementeranno in Excel alcuni dei modelli presentati.
- معلم: Francesca Centrone
- معلم: Gianluca Fusai
- معلم: Giovanni Longo
- معلم: Gianluca Fusai