The three-year programme in Scienze economiche e bancarie offers an integrated approach to the study of models of banking, insurance and financial markets, offering a sound education in disciplines in both the economics and statistical-quantitative areas.
The course provides a thorough understanding of resource allocation under conditions of uncertainty, with a particular focus on micro- and macro-economic issues as well as on their economic and social implications. The course considers how credit is granted to households and firms, how insurance risks are managed, how financial markets and their underlying regulatory and operational framework models work.
The course is divided into three different curricula:
Further studies: students can complete their education with specialized degrees in Economia e gestione degli intermediari finanziari, Economics/Economia, Finance, Management e Governance, Scienze statistiche delle indagini campionarie and other university masters degrees.