- Docente: Filippo Massari
- Credits: 6
- SSD: SECS-P/01
- Language: English
- Teaching Mode: Traditional lectures
- Campus: Bologna
- Corso: First cycle degree programme (L) in Economics and Finance (cod. 8835)
-
from Sep 18, 2024 to Dec 16, 2024
Learning outcomes
This course introduces students to the concepts of financial risks and to the techniques used to manage those risks using financial derivatives. After showing how to measure risk and its impact on the firm’s business, the course illustrates the functioning of derivatives, such as forward and futures, swaps and options, and their use to hedge financial risks.
Readings/Bibliography
Options, futures, and other derivatives, 11 edition, John C. Hull.
Teaching methods
lectures in person
Assessment methods
written exam
Teaching tools
slides
Office hours
See the website of Filippo Massari