- Docente: Giovanni Cardillo
- Credits: 6
- SSD: ECON-09/B
- Language: English
- Teaching Mode: In-person learning (entirely or partially)
- Campus: Forli
- Corso: First cycle degree programme (L) in Management and Economics (cod. 5892)
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from Sep 14, 2026 to Dec 15, 2026
Learning outcomes
The purpose of the course is to evaluate investment decisions regarding asset allocation among alternative financial securities traded in the financial markets (bonds, stocks and derivatives). By the end of the course, students learn (a) how to evaluate the risk and the return associated with the securities traded in the financial markets (b) to effectively employ the modern portfolio theory in the selection of the securities.
Syllabus
The syllabus has not been published yet.
Office hours
See the website of Giovanni Cardillo