87507 - FOUNDATIONS OF RISK REGULATION IN FINANCIAL MARKETS

Anno Accademico 2024/2025

  • Docente: Diego Valiante
  • Crediti formativi: 6
  • SSD: SECS-P/02
  • Lingua di insegnamento: Inglese
  • Modalità didattica: In presenza e a distanza - Blended Learning
  • Campus: Bologna
  • Corso: Laurea Magistrale in Economia e diritto (cod. 5913)

Conoscenze e abilità da conseguire

The course offers a review of market failures in financial markets and underlying economic theories, such as moral hazard, adverse selection and cognitive biases. The course then puts theories in practice by analyzing the economic foundations of building blocks of financial market regulations and institutions, including the recent European banking union, capital markets union reforms and risk regulations for central counterparty clearing houses (CCPs). Students will be able to understand the rationale of risk policies in financial markets, how to identify a market failure and devise intervention.,The course offers a review of market failures in financial markets and underlying economic theories, such as moral hazard, adverse selection and cognitive biases. The course then puts theories in practice by analyzing the economic foundations of building blocks of financial market regulations and institutions, including the recent European banking union, capital markets union reforms and risk regulations for central counterparty clearing houses (CCPs). Students will be able to understand the rationale of risk policies in financial markets, how to identify a market failure and devise intervention.

Contenuti

See English webpage.

Testi/Bibliografia

See English webpage.

Metodi didattici

See English webpage.

Modalità di verifica e valutazione dell'apprendimento

See English webpage.

Strumenti a supporto della didattica

See English webpage.

Orario di ricevimento

Consulta il sito web di Diego Valiante