Skip to Main Content (Press Enter)

Logo UNIPV
  • ×
  • Home
  • Corsi
  • Insegnamenti
  • Professioni
  • Persone
  • Pubblicazioni
  • Strutture

UNIFIND
Logo UNIPV

|

UNIFIND

unipv.it
  • ×
  • Home
  • Corsi
  • Insegnamenti
  • Professioni
  • Persone
  • Pubblicazioni
  • Strutture
  1. Insegnamenti

510670 - LABORATORY ON FINANCIAL MANAGEMENT AND ETHICAL BEHAVIOUR

insegnamento
ID:
510670
Durata (ore):
44
CFU:
3
SSD:
ECONOMETRIA
Anno:
2025
  • Dati Generali
  • Syllabus
  • Corsi
  • Persone

Dati Generali

Periodo di attività

Secondo Semestre (16/02/2026 - 23/05/2026)

Syllabus

Obiettivi Formativi

The first part of the course aims to present fixed-income securities and the methods for evaluation and risk assessment in the fixed-income markets. At the end of this part, the students will know the features of fixed-income securities, the functioning of the fixed-income market, the methods for fixed-income evaluation and the fundamentals of credit analysis. The second part of the course aims to provide an introduction to ethics in financial markets and related risks. This part explores the principles and practices of financial ethics with a focus on real-world cases of corporate misconduct. Students will examine the ethical responsibilities of financial professionals, the importance of ethical decision-making, and the impact of unethical behavior on organizations and society. The course will analyze case studies where early warning signs ("red flags") were evident in the

Prerequisiti

Basic knowledge of Linear Algebra, Statistics, Econometrics

Metodi didattici

In class lectures

Verifica Apprendimento

For the first part: The students can choose between a written test and an oral presentation. For the second part: The students can choose between a written text and a presentation.

Testi

Slides and codes shared during the course. Some suggested (not mandatory) readings for the second part: Code of Ethics and Standards of Professional Conduct, CFA Institute, 2014; - Guidance for Standards I–VII, Standards of Practice Handbook, Eleventh Edition, CFA Institute, 2014; - Research Objectivity Standards, CFA Institute, 2005;

Contenuti

Contents of the first part: - Fixed-Income Securities: Defining Elements; - Fixed-Income Markets: Issuance, Trading, and Funding; - Introduction to Fixed-Income Valuation; - Understanding Fixed-Income Risk and Return; - Fundamentals of Credit Analysis. Contents of the second part: - Introduction to Financial Ethics; - CFA Institute “code of Ethics”, Standard of Professional Conduct” and “Standard of Practice Handbook”: ethical principles and macro-area of application; - Red Flags in corporate management; - Analysis of major financial scandals (e.g., Enron, Wirecard, Wells Fargo).

Lingua Insegnamento

INGLESE

Corsi

Corsi (2)

FINANCE 
Laurea Magistrale
2 anni
FINANCE 
Laurea Magistrale
2 anni
No Results Found

Persone

Persone (2)

AMENDOLA ANTONIO
Docente
QUARTO DI PALO GIUSEPPE
AREA MIN. 13 - Scienze economiche e statistiche
Docente
No Results Found
  • Utilizzo dei cookie

Realizzato con VIVO | Designed by Cineca | 25.8.1.2