89570 - sem. l'impatto della MIFID II sui risparmiatori e sui consulenti finanziari: strategie attive e passive

Academic Year 2018/2019

  • Teaching Mode: Traditional lectures
  • Campus: Bologna
  • Corso: Second cycle degree programme (LM) in Financial Markets and Institutions (cod. 0901)

Course contents

Evolution of the legislation: from MiFID to MiFID2.

The different types of financial advice

Active and passive asset management strategies.

Evolution of Exchange Traded Products (Borsa Italiana)

Analysis of decorrelated and flexible strategies.

Readings/Bibliography

material made available by the teacher

Teaching methods

lectures with the participation of experts in the field.

Dott. Giuseppe Capobianco Direttore Generale Organismo di vigilanza e tenuta dell'albo unico dei Consulenti Finanziari - OCF

Dott. Marcello Fumagalli Partner/Advisory Risk & Compliance BDO Italia Spa

Dott. Alberto Palazzi Banca di Bologna Responsabile Servizio Prodotti & Investimenti

Dott. Andrea Tenti-Borsa Italiana - Listing and Products Specialist ETFs, ETPs and open end Funds Market-Capital Markets, London Stock Exchange Group

Enrico Camerini-Head of Institutional Clients Italy iShares Londra- Gruppo Blackrock.

Assessment methods

final written test

CAN ONLY ACCESS THOSE WHO HAVE ATTENDED AT THREE MEETINGS

Office hours

See the website of Atos Cavazza