Scheda insegnamento

Anno Accademico 2022/2023

Conoscenze e abilità da conseguire

The aim of this course is to provide a thorough understanding of the theory and practice of financial assets valuation and problems within different trading markets. At the end of the course the student will be able to: - analyse the financing alternatives available to companies; - understand the economic and financial problems of the contexts in which firms and investors operate; - analyse the issue procedures of financial assets (i.e., issue of bonds and stocks).


This course provides the students with a disciplined framework for the analysis and valuation of firms based on the following five steps:

  1. Industry & Business strategy Analysis;
  2. Accounting Analysis;
  3. Financial Analysis (i.e., Profitability, Risk and Growth);
  4. Prospective Analysis: Forecasting; and
  5. Prospective Analysis: Valuation of Firms.

The above framework will be applied entirely on a final group project (i.e., part of the final grade).


During the first day of class, more textbook details will be shared.

Metodi didattici

1- Frontal lessons by the professor explaining the contents of the course.

2- Excel lab to practice financial modeling

3- A dedicated tutor

Modalità di verifica e valutazione dell'apprendimento

This is the assessment grid: (a) <18 insufficient; (b) 18-23 sufficient; (c) 24-27 average/good; (d) 28-30 very good; (e) 30 cum laude excellent/outstanding.

Orario di ricevimento

Consulta il sito web di Salvatore Perdichizzi