The aim of the Master is to train students to acquire a deeper and more sophisticated knowledge of the economic analysis of markets and financial institutions. The primary function of the Master is to facilitate the entry of students into the domestic and international labour market by providing them with the most recent investigation tools, at both theoretical and applied level, thus preparing specialists in the fields of the analysis of financial markets, risk management, banking and corporate finance. Courses are held in English, so as to adopt a more international approach and to encourage interaction between Italian and non-Italian students, as well as the international teaching staff. The faculty is recruited from the world’s most renowned international academic institutions of Economics and Finance, as well as from business organizations operating in the financial sector.
The Master in Economics and Finance programme:
- provides participants with a strong foundation in the principles and practice of Economics and Finance;
- furnishes participants with the analytical tools and new skills necessary to acquire a sound basis for financial decision-making;
- helps individuals to enhance their management effectiveness in the field of Economics and Finance;
- brings students into the most operative packages for quantitative analysis of financial problems by utilising the supplied EViews® and Matlab® and the database provided by Datastream®