Logo of University of Turin

Corporate Finance and Financial Markets

Tuition fee €2,800 per year

The above amount refers to the academic year 2020/2021, when tuition and fees ranged from €156 to €2,800 per year. For information on tuition and fees for the academic year 2021/2022 please visit this page.
Updated information on how to apply for reductions or exemptions on tuition fees will be available at the link above, please check it regularly.

Application fee €15 one-time

The application fee has to be paid within the deadline of each call. The amount of the application fee is the same wheter you decide to apply for 1 or 2 degree programmes.

More information

famf.unito.it/do/home.pl 

Overview

The degree course in Corporate Finance and Financial Market is addressed to students interested in working in the field of the corporate finance or of the credit, movable and insurance intermediation. In order to provide for a specialised preparation in this kind of activities students will know:
- the carachteristics and problems of the corporate finance, at a national and international level;
- the methods of analysis, measurement and evaluation of financial risks;
- the tools and techniques of financial risks management with the use of derivative instruments;
- the processes and dynamics that rule the prices of financial instruments;
- different kind of provisional techniques applied to the financial markets and to the macroeconomic variables;
- the most sophisticated techniques of financial portfolio management; the financial products specifically offered by financial intermediary and to the private clientele.


Il Corso di Studio in Finanza Aziendale e Mercati Finanziari (FAMF) si indirizza a studenti interessati a lavorare nell’ambito della finanza d’impresa oppure dell’intermediazione creditizia, mobiliare o assicurativa. Al fine di fornire una preparazione specialistica per questo genere di impieghi.
I laureati conosceranno:
- le caratteristiche e le problematiche della finanza d’impresa, a livello domestico e a livello internazionale;
- le metodologie di analisi, misurazione e valutazione dei rischi finanziari;
- gli strumenti e le tecniche di gestione dei rischi finanziari, attraverso l’utilizzo di strumenti derivati;
- i processi e le dinamiche che governano la determinazione del prezzo degli strumenti finanziari;
- vari tipi di tecniche previsionali applicate ai mercati finanziari ed alle variabili macroeconomiche;
- le più sofisticate tecniche di gestione dei portafogli finanziari; i prodotti finanziari specificamente offerti dagli intermediari finanziari alle imprese e alla clientela private.

Career opportunities

Graduated students can work in different jobs:
• Credit analysts;
• Financial analysts;
• Portfolio manager;
• controller;
• risk manager;
• trader;
• treasurer;
• financial consultant;
• private banker.


Le mansioni che possono essere ricoperte dal laureato magistrale sono varie:
• analista crediti;
• analista finanziario;
• gestore di portafoglio;
• controller;
• risk manager;
• trader;
• tesoriere;
• consulente finanziario;
• private banker.

Not available for applying at the moment

Application deadlines apply to citizens of: United States

Not available for applying at the moment

Application deadlines apply to citizens of: United States