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Risorse bibliografiche
Risorsa bibliografica obbligatoria
Risorsa bibliografica facoltativa
Scheda Riassuntiva
Anno Accademico 2019/2020
Scuola Scuola di Ingegneria Industriale e dell'Informazione
Insegnamento 098472 - FINANCIAL MARKETS AND INSTITUTIONS + MACROECONOMICS OF FINANCE
  • 098470 - FINANCIAL MARKETS AND INSTITUTIONS
Docente Giorgino Marco
Cfu 5.00 Tipo insegnamento Modulo Di Corso Strutturato

Corso di Studi Codice Piano di Studio preventivamente approvato Da (compreso) A (escluso) Insegnamento
Ing Ind - Inf (Mag.)(ord. 270) - BV (479) MANAGEMENT ENGINEERING - INGEGNERIA GESTIONALE*AZZZZ098472 - FINANCIAL MARKETS AND INSTITUTIONS + MACROECONOMICS OF FINANCE

Obiettivi dell'insegnamento

The course fits into the overall program curriculum pursuing some of the defined general learning goals. In particular, the course contributes to the development of the following capabilities:

  • Understand context, functions, processes in a business and financial environment and the impact of those factors on business performance

  • Identify trends, technologies and key methodologies in a specific domain (specialization streams)


Risultati di apprendimento attesi
  • Understand the financial system and the financial intermediaries (e.g. banks, investment funds, ...)

  • Identify main figures and trends related to the financial markets and the banking systems

  • Develop knowledge in terms of the role of the digital innovation inside banking and financial systems.


Argomenti trattati

The course focuses on financial markets and institutions. In particular, it concentrates on the features, the objectives, the role and the typologies of financial markets, securities and intermediaries. Some lectures will provide insights about the banks P&L, their supervision and regulation and the Banking Union. The course will conclude with some details on corporate governance and the takeover market.

In detail, the lectures of the course will be about:

  • Introduction to the financial system
  • Flow of funds in the economic system
  • Bank monetary function
  • The theory of financial intermediation
  • Financial markets: an overview and regulation
  • Securities: bonds, equity, derivatives, forex
  • Securities markets (bonds, equity, derivatives), the Stock market
  • The market players
  • Banks P&L, economic and financial equilibrium, asset liability management
  • Bank supervision, prudential regulation and the Banking Union
  • Classification of risks in banking. RAF and ICAAP
  • Corporate governance.Takeover regulation
  • Introduction to the asset management

Prerequisiti
 

Modalità di valutazione
  • Individual written test. Regular calls:February, July and September
  • You can re-take the exam as many times as you want but it is mandatory to formally reject the previous grade

Bibliografia
Risorsa bibliografica obbligatoriaFinancial Markets and Institutions, Editore: McGraw Hill, Anno edizione: 2015, ISBN: 9781308633947
Note:

The textbook has been created for this course. It will be available in the libraries near Bovisa campus


Forme didattiche
Tipo Forma Didattica Ore di attività svolte in aula
(hh:mm)
Ore di studio autonome
(hh:mm)
Lezione
32:30
48:45
Esercitazione
17:30
26:15
Laboratorio Informatico
0:00
0:00
Laboratorio Sperimentale
0:00
0:00
Laboratorio Di Progetto
0:00
0:00
Totale 50:00 75:00

Informazioni in lingua inglese a supporto dell'internazionalizzazione
Insegnamento erogato in lingua Inglese
Disponibilità di materiale didattico/slides in lingua inglese
Disponibilità di libri di testo/bibliografia in lingua inglese
Possibilità di sostenere l'esame in lingua inglese
Disponibilità di supporto didattico in lingua inglese
schedaincarico v. 1.6.1 / 1.6.1
Area Servizi ICT
26/01/2020