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CODE 118575
ACADEMIC YEAR 2025/2026
CREDITS
LANGUAGE English
TEACHING LOCATION
  • GENOVA
MODULES Questo insegnamento è composto da:
TEACHING MATERIALS AULAWEB

AIMS AND CONTENT

LEARNING OUTCOMES

After the Course, the student will be able to:

• Understand how firms operate in financial markets;

• Understand firms’ optimal financing decisions;

• Evaluate how investors’ price financial assets;

• employ the main financial strategies with derivatives

• model the financial market using stochastic calculus;

• evaluate the price of the main financial derivatives;

• calculate the hedging strategies for the financial derivatives;

• Learn the strategical importance of sustainable finance in financial markets;

• Evaluate firms’ ESG engagement and its implications for asset valuation;

• Understand the main regulatory framework of sustainable finance;

  • Evaluate sustainable financial products and instruments;

TEACHING METHODS

Students who have valid certification of physical or learning disabilities  and who wish to discuss possible accommodations or other circumstances regarding lectures, coursework and exams, should speak both with the instructor and with Professor Elena Lagomarsino elena.lagomarsino@unige.it, the Department's disability liaison.

TEACHERS AND EXAM BOARD

LESSONS

Class schedule

The timetable for this course is available here: Portale EasyAcademy