Rosaria CERRONE | ECONOMIA DEGLI INTERMEDIARI FINANZIARI
Rosaria CERRONE ECONOMIA DEGLI INTERMEDIARI FINANZIARI
cod. 0212100019
ECONOMIA DEGLI INTERMEDIARI FINANZIARI
0212100019 | |
DIPARTIMENTO DI SCIENZE ECONOMICHE E STATISTICHE | |
EQF6 | |
BUSINESS ADMINISTRATION | |
2017/2018 |
OBBLIGATORIO | |
YEAR OF COURSE 3 | |
YEAR OF DIDACTIC SYSTEM 2014 | |
PRIMO SEMESTRE |
SSD | CFU | HOURS | ACTIVITY | |
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SECS-P/11 | 10 | 60 | LESSONS |
Objectives | |
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TO PROVIDE STUDENTS WITH A BROAD KNOWLEDGE THE MANAGEMENT OF FINANCIAL INSTITUTIONS STABILITY, EFFICIENCY AND COMPETITIVENESS AND OF THE MAIN REGULATORY AND SUPERVISORY ISSUES IN BANKING AND FINANCE. THE BASIC THEORETICAL CHARACTERISTICS OF INVESTMENT ACTIVITY AND OF THE RISK-RETURN RELATIONSHIP, WILL ALSO BE DISCUSSED. STUDENTS WILL BE ABLE TO SELECT FINANCIAL INSTRUMENTS AND MARKETS THAT ARE SUITABLE TO SOLVE SPECIFIC FINANCIAL PROBLEMS THAT OCCUR IN THE REAL WORD, AND TO UNDERSTAND THE ECONOMICS AND THE MOST RELEVANT ASPECTS OF FINANCIAL INVESTMENTS. |
Prerequisites | |
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NOT REQUESTED. |
Contents | |
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THE COURSE IS ESSENTIALLY BASED ON LECTURES WITH DISCUSSION OF REAL CASES. THE MAIN TOPICS ARE AS FOLLOWS: -FINANCIAL INSTRUMENTS AND MARKETS -ROLE OF CAPITAL MARKETS -FINANCIAL RISK MEASUREMENT -SUPERVISORY AUTHORITIES -RISK-RETURN RELATIONSHIP AND PREDICTABILITY OF ASSET RETURNS -RATING PROCESS -EVALUATING FIXED INCOME INVESTMENTS AND OTHER FINANCIAL INSTRUMENTS -BANKS AND OTHER FINANCIAL INSTITUTIONS -FINANCIAL INSTITUTIONS AND RISK MANAGEMENT - MAIN BANKING SERVICES. |
Teaching Methods | |
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THE COURSE IS BASED ON LECTURES LASTING 60 HOURS (10 ECTS). DURING THE LECTURES IN-DEPTH ANALYSIS, SEMINARS AND DISCUSSION OF CASE STUDIES WILL TAKE PLACE. |
Verification of learning | |
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THE KNOWLEDGE WILL BE ASSESSED THOUGH AN EXAM AND AN EVALUATION WITH GRADES FROM 18/30 TO 30/30. IT CONSISTS IN A WRITTEN EXAM IN THE FORM OF A MULTIPLE CHOICE TEST (WITH THREE QUESTIONS AND ONLY ONE RIGHT ANSWER) AND AN ORAL EXAM. THE STUDENT WILL PASS THE WRITTEN EXAM, IF HE GIVES AT LEAST THE 70% OF RIGHT ANSWERS. EACH RIGHT ANSWER IS WORTH 1 AND EACH WRONG OR NOT GIVEN ANSWER IS 0. IF THE STUDENT PASS THE WRITTEN EXAM, HE WILL BE ASSESSED WITH AN ORAL EXAM IN THE FORM OF A DISCUSSION. THE TOTAL GRADE IS THE MEAN OF THE WRITTEN AND OF THE ORAL GRADE. |
Texts | |
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BOTH TEXTBOOKS ARE REQUIRED: SAUNDERS-CORNETT-ANOLLI-ALEMANNI, ECONOMIA DEGLI INTERMEDIARI FINANZIARI, (CHAP. 1, 2, 3, 5 [EXCEPT 5.4 E 5.5 ], 6 [EXCEPT 6.3,6.4], 7, 9 [EXCEPT 9.4 -9.5-9.6], 10 [EXCEPT 10.4 -10.5-10.6], 11 [EXCEPT 11.7], 12 [EXCEPT 12.3 – 12.4], 13 [TRANNE 13.5], 14, 15, 16, 17, 18] MCGRAW-HILL, 2015, IV ED. BORRONI-ORIANI, LE OPERAZIONI BANCARIE, IL MULINO, 2014. |
More Information | |
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OTHER READINGS ABOUT ACTUAL TOPICS SENT BY E-MAIL OR DOWNLOAD. |
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