Master’s degreeEconomia degli Intermediari e dei Mercati Finanziari LM-77
Study location | Italy, Bari |
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Type | Master's Degree, full-time |
Nominal duration | 2 years (120 ECTS) |
Study language | Italian |
Awards | Master’s degree |
Course code | 8970/PDS0-2022/2022 |
Tuition fee | For information please refer to the Regolamento tasse e contributi |
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Entry qualification | Undergraduate diploma (or higher) Open access course. The entry qualification documents are accepted in the following languages: English / Italian. Often you can get a suitable transcript from your school. If this is not the case, you will need official translations along with verified copies of the original. You must take the original entry qualification documents along with you when you finally go to the university. |
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Language requirements | Italian Non-eu students residing abroad who would like to enroll in a study course completely taught in Italian, have to prove their knowledge of the language through an Italian language test. The following categories are excluded from this obligation: |
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Other requirements | For foreign students, a bachelor degree in business administration or economics is mandatory |
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More information |
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Overview
The master course offers advanced skills in the field of banking and financial sector, insurance companies and securities markets and allows enrolled students to develop an in-depth knowledge on the management of economic and financial risks that impact the activities of banks, institutional investors, supervisory authorities and companies.
Program structure
https://www.uniba.it/it/corsi/economia-intermediari-e-mercati-finanziari/studiare/piano-di-studi/piano-di-studi
Career opportunities
EIMF master’s laureates show a strong knowledge of financial markets that allows them to work in banks, asset management companies, regulation authorities, insurances; furthermore, they are able to manage treasury and financial areas of companies. The knowledge necessary to access the job market in roles of responsibility is effectively acquired through mandatory courses and with a wide range of elective courses that delve into fundamental and emerging topics, such as ESG investments in companies and markets, integrated risk management, mutual banking systems, responsibility in financial intermediaries.