STRATEGIES GOVERNMENT OF BANKING RISKS
Academic year2016/17
CourseBANKING FINANCE FINANCIAL MARKETS
Code388PP
Credits9
PeriodSemester 1
LanguageItalian
Modules | Area | Type | Hours | Teacher(s) |
STRATEGIE DI GOVERNO DEI RISCHI BANCARI | SECS-P/11 | LEZIONI | 63 | |
Programma non disponibile nella lingua selezionata
Knowledge
The student who successfully completes the course will be able to demonstrate a solid knowledge of risk management in banks. More specifically, he or she will be able to understand how financial institutions manage, control and mitigate risks. The student will be able to look critically at the impacts of the financial crisis on the risk management processes and to understand the opportunities and challenges deriving from the new regulatory framework (Basel 3).
Assessment criteria of knowledge
The student will be assessed on his/her demonstrated ability to discuss the main course contents using the appropriate terminology.
Methods:
Teaching methods
Delivery: face to face
Learning activities:
- attending lectures
- participation in seminar
- participation in discussions
- individual study
Attendance: Advised
Teaching methods:
Syllabus
The course covers the risk management in banks: measurement, management, control and mitigations systems and tools.
A specific part of the course will be dedicated to the analysis of the impacts that the international financial crisis and the regulatory frameworks (Basel 3 and the Banking Union) have produced (and will continue to produce) on the banking activities and strategies.
Bibliography
Bibliography will be indicated at the beginning of the course.
Updated: 14/11/2016 17:27