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 Economics and data analysis - 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
Modules | Credits | TAF | SSD |
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One module between the following
2° Year activated in the A.Y. 2023/2024
Modules | Credits | TAF | SSD |
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Two modules among the following
Two modules among the following
One module between the following
Modules | Credits | TAF | SSD |
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One module between the following
Modules | Credits | TAF | SSD |
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Two modules among the following
Two modules among the following
One module between the following
Modules | Credits | TAF | SSD |
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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.
Investments (It will be activated in the A.Y. 2023/2024)
Teaching code
4S02466
Credits
6
Scientific Disciplinary Sector (SSD)
SECS-P/11 - ECONOMIA DEGLI INTERMEDIARI FINANZIARI
Learning objectives
In this course students will be introduced to the modern study and analysis of investments by considering how the investors, namely private and institutional, make their decisions and how their choices can be evaluated. In recent years both markets and securities have evolved to meet the changing and complex needs of different participants in the financial system. In this regard, the course focuses on the knowledge of the major types of markets in which securities trade, on the trading process and on the major players in these arenas. A special attention is devoted to the analysis of the procedures available for trading securities in international markets and to financial regulation and competition. Following a review of the investments industry – financial assets, financial intermediaries and financial markets - we will study the portfolio theory and other relevant models. In particular, the course aims at developing students’ skills on how the international financial markets and investment industry work. At the end of the course students should be able to: analyse financial markets, financial intermediaries and the most known theoretical models; understand how investment decisions can be made and their effects on savings. The use of some problem sets will also enable students to apply the concepts learned.
Educational offer 2024/2025
You can see the information sheet of this course delivered in a past academic year by clicking on one of the links below: