Studying at the University of Verona
Here you can find information on the organisational aspects of the Programme, lecture timetables, learning activities and useful contact details for your time at the University, from enrolment to graduation.
Study Plan
This information is intended exclusively for students already enrolled in this course.If you are a new student interested in enrolling, you can find information about the course of study on the course page:
Laurea magistrale in Banca e finanza - Enrollment from 2025/2026The Study Plan includes all modules, teaching and learning activities that each student will need to undertake during their time at the University.
Please select your Study Plan based on your enrollment year.
1° Year
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2° Year activated in the A.Y. 2019/2020
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Legend | Type of training activity (TTA)
TAF (Type of Educational Activity) All courses and activities are classified into different types of educational activities, indicated by a letter.
Advanced risk and portfolio management bootcamp (online) (3 cfu) (2018/2019)
Teaching code
4S008483
Teacher
Coordinator
Credits
3
Also offered in courses:
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Bachelor's degree in Business Administration (Verona)
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Bachelor's degree in Business Administration (Vicenza)
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Bachelor's degree in Economics and Business (Verona)
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Bachelor's degree in Economics and Business (Vicenza)
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Master’s degree in Economics
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Master’s degree in Business Management (Vicenza)
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Master’s degree in Business Administration and Corporate Law
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Master’s degree in Marketing and Corporate Communication
- Advanced risk and portfolio management bootcamp (online) (3 cfu) of the course Master's degree in International Economics and Business Management
Language
English
Scientific Disciplinary Sector (SSD)
NN - -
Period
Not yet assigned
Learning outcomes
The Advanced Risk and Portfolio Management (ARPM) Bootcamp is an intense training that:
• consolidates risk managers’, financial data scientists’, and portfolio managers’ expertise into a structured and rigorous quantitative framework
• empowers avid learners with background in data science, engineering, computer science, physics and mathematics to gain the deep technical knowledge necessary to operate across the complex world of quantitative risk management and asset management.
For more information: https://www.arpm.co/
Program
In operation since 2007, the ARPM Bootcamp has thousands of alumni from around the world, including industry leaders and academics.
The ARPM Bootcamp program includes:
• Data science
• Machine learning
• Market modeling
• Factor modeling
• Portfolio construction
• Liquidity
• Dynamic strategies.
The program is constantly updated and gets richer year after year.
Online
Curated video lectures, embedded in the ARPM Lab with user-friendly access to all the support materials
Examination Methods
Attendance certificate.