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Exams and average marks

List of programme's course units, number of exams (i.e. how many times the exam was taken in a year) and average marks

The data refer to last year. A course unit may include modules, subgroups, integrated exams. Proficiency tests are not included in the list.

Course unit Number of times exam was taken Average mark
ADVANCED TOPICS IN LIQUIDITY MANAGEMENT IN THE POST CRISIS ERA 20 27
APPLIED COMPUTATIONAL FINANCE 2 24
ADVANCED TOPICS IN ASSET MANAGEMENT 6 30
FUNDAMENTALS OF INTEREST RATE MODELS 1 27
INTRODUCTION TO MACHINE LEARNING 18 29
MATHEMATICS AND PROBABILITY (I.C.) 64 24
ADVANCED METHODS OF RISK MANAGEMENT 1 30 28
CREDIT RISK 1 30
MARKET MICROSTRUCTURE AND HIGH FREQUENCY FINANCE 15 28
LIFE INSURANCE 12 29
FINANCIAL MARKET REGULATION 72 27
WORKSHOP IN QUANTITATIVE FINANCE 23 28
CREDIT DERIVATIVES 15 30
NON-LIFE INSURANCE 12 28
ADVANCED COMPUTATIONAL FINANCE 2 27
GRENFIN - CREDIT RISK AND CLIMATE CHANGE 1 30
ACTUARIAL AND FINANCIAL MATHEMATICS (I.C.) 74 26
ADVANCED TOPICS IN RISK MANAGEMENT 9 29
ECONOMICS OF FINANCIAL MARKETS 64 29
FINANCIAL ENGINEERING FOR ASSET MANAGEMENT 1 26
STOCHASTIC PROCESSES AND ECONOMETRICS (I.C.) 54 27
NUMERICAL ANALYSIS (I.C.) 66 28
CORPORATE FINANCE AND RISK MANAGEMENT (I.C.) 68 28
ECONOMETRICS OF FINANCIAL MARKETS 14 28
ADVANCED INTEREST RATE MODELS AND MARKETS 16 27
ADVANCED MACHINE LEARNING 8 27
FINANCIAL RISK MANAGEMENT 1 18
FUNDAMENTALS OF INTEREST RATE MODELS 8 29
COMPUTATIONAL FINANCE 17 25
STATISTICS AND ECONOMETRICS (I.C.) 5 23
STATISTICS AND ECONOMETRICS (I.C.) 2 26
STATISTICS OF FINANCIAL MARKETS 33 27
CORPORATE FINANCE 8 23
TOPICS IN LIQUIDITY RISK 6 27
ADVANCED RISK AND PORTFOLIO MANAGEMENT 10 30