Laurea Magistrale in
Quantitative Finance
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Calendario 1 anno
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MATHEMATICS AND PROBABILITY (I.C.) / CALCULUS
FINANCIAL MARKET REGULATION / (1) Modulo 1
FINANCIAL MARKET REGULATION / (2) Modulo 2
MATHEMATICS AND PROBABILITY (I.C.) / PROBABILITY
STOCHASTIC PROCESSES AND ECONOMETRICS (I.C.) / STOCHASTIC PROCESSES
CORPORATE FINANCE AND RISK MANAGEMENT (I.C.) / CORPORATE FINANCE
ECONOMICS OF FINANCIAL MARKETS
Reassessment of Real Analysis and Advanced Differential Calculus
/cal/8854/1
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Calendario 2 anno
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STATISTICS OF FINANCIAL MARKETS
CREDIT DERIVATIVES
MARKET MICROSTRUCTURE AND ALGORITHMIC TRADING
NUMERICAL ANALYSIS (I.C.) / COMPUTER PROGRAMMING
ADVANCED INTEREST RATE MODELS AND MARKETS
ADVANCED TOPICS IN LIQUIDITY MANAGEMENT IN THE POST CRISIS ERA
NUMERICAL ANALYSIS (I.C.) / NUMERICAL METHODS
FUNDAMENTALS OF INTEREST RATE MODELS
ECONOMETRICS OF FINANCIAL MARKETS
/cal/8854/2
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