This introductory course aims to provide you with an understanding of the theoretical and, mainly, practical aspects of the financial markets and the pricing of financial instruments. We will take an applied perspective on various relevant topics, such as risk, diversification, interest rates, valuation theories, derivative securities (futures, forwards, and options), risk management, efficient markets, and portfolio management. Topics are selected in accordance to the requirements of Chartered Financial Analyst (CFA) and Professional Risk Manager (PRM) world-leading certification for finance and risk management, so to offer the adequate preparation for CFA and PRM exams and for relevant positions in the finance industry, such as company analyst, financial analyst, corporate finance advisor, or private banker.
At the end of this course, students should be able to: