Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | JOHANN WOLFGANG GOETHE UNIVERSITÄT | 0 | 1, 2 | ADVANCED PORTFOLIO MANAGEMENT E INGEGNERIA FINANZIARIA | 9.00 | Excel for finance | 3.00 | I |
Hedge funds and alternative investments | 6.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | ISM INTERNATIONAL SCHOOL OF MANAGEMENT GMBH - GEMEINNUETZIGE GESELLSCHAFT | 0 | 1 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Implementation of Derivatives | 5.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | International Finance Management | 5.00 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | International Financial Reporting | 5.00 | I | ||||
International Trade and Sales | 5.00 | I | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Banking Operations | 4.00 | II |
BANKING AND FINANCIAL REGULATION | 6.00 | Controlling and Financial Analysis | 6.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Data Analysis for Business | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Insurance and Reinsurance | 5.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
SPAGNA | UNIVERSIDAD DE LA LAGUNA | 0 | 1, 2 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Análisis Multivariante | 6.00 | II |
ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Contabilidad de Instrumentos Financieros | 6.00 | I | ||||
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Contabilidad de sociedades | 6.00 | I | ||||
INTERNATIONAL FINANCE | 9.00 | Curso de Espanol | 2.50 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Dirección y Gestión de la Producción y de las Operaciones | 6.00 | I | ||||
Gestión Bancaria | 6.00 | I | ||||||
Modelización | 6.00 | II | ||||||
Pensamiento economico | 6.00 | I | ||||||
Programación Combinatoria | 6.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
BELGIO | UNIVERSITÉ LIBRE DE BRUXELLES | 0 | 2, 3 | ANALISI DELLE SERIE STORICHE | 6.00 | Banking and asset management | 5.00 | I |
PROBABILITA' E PROCESSI STOCASTICI | 12.00 | Introduction to econometrics | 5.00 | I | ||||
Quantitative financial risk | 5.00 | I | ||||||
Stochastic models | 5.00 | I | ||||||
Time series analysis 1 | 5.00 | I | ||||||
CROAZIA | SVEUCILIŠTE U ZAGREBU | 0 | 1, 2 | ANALISI DELLE SERIE STORICHE | 6.00 | Corporate Finance | 6.00 | I |
DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Corporate Risk Management | 6.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | European Market Law | 6.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Mathematics for Business | 9.00 | I | ||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 1 | ANALISI DELLE SERIE STORICHE | 6.00 | Econometrics I | 6.00 | I |
PROBABILITA' E PROCESSI STOCASTICI | 12.00 | advanced financial instruments:strictured products | 2.50 | I | ||||
english for business | 6.00 | I | ||||||
financial risk management | 5.00 | I | ||||||
international financial economics | 5.00 | I | ||||||
numeric calculation | 2.50 | I | ||||||
programming and applications | 2.50 | I | ||||||
quantitative management of risk | 5.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | INTERNATIONAL SCHOOL OF MANAGEMENT ISM DORTMUND | 0 | 1 | BANKING AND FINANCIAL REGULATION | 6.00 | Business Ethics | 5.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Implementation of Derivatives | 5.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | International Auditing | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | International Finance Management | 5.00 | II | ||||
International Trade and Sales | 5.00 | II | ||||||
Marketing Controlling | 5.00 | II | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Banking Operations | 4.00 | II |
BANKING AND FINANCIAL REGULATION | 6.00 | Controlling and Financial Analysis | 6.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Data Analysis for Business | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Insurance and Reinsurance | 5.00 | II | ||||||
Statistics for Business | 6.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
CROAZIA | SVEUCILIŠTE U ZAGREBU | 0 | 1, 2 | ANALISI DELLE SERIE STORICHE | 6.00 | Corporate Finance | 6.00 | I |
DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Corporate Risk Management | 6.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | European Market Law | 6.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Mathematics for Business | 9.00 | I | ||||
GERMANIA | FRANKFURT UNIVERSITY OF APPLIED SCIENCES [former FACHHOCHSCHULE FRANKFURT AM MAIN] | 0 | 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Financial Econometrics | 5.00 | I |
ECONOMETRIA I | 6.00 | Financial Reporting and Capital Markets | 5.00 | I | ||||
ECONOMIA DEI MERCATI E DEGLI INTERMEDIARI FINANZIARI INTERNAZIONALI | 6.00 | International Trade and International Business Law | 5.00 | I | ||||
Investment Analysis | 5.00 | I | ||||||
course language deutsche | 5.00 | I | ||||||
digital finance | 5.00 | I | ||||||
OLANDA | MAASTRICHT UNIVERSITY | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Accounting for Financial Markets | 6.50 | I |
METODI E MODELLI PER LA FINANZA | 6.00 | Business Analysis | 6.50 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Stochastic Processes | 6.50 | I | ||||
SLOVENIA | UNIVERZA V LJUBLJANI | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Behavioral Finance | 7.00 | II |
FINANZA QUANTITATIVA | 9.00 | Derivatives | 7.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 9.00 | Econometrics 2 | 7.00 | II | ||||
METODI STATISTICI PER L'ECONOMIA | 9.00 | Empirical Finance | 7.00 | I | ||||
Probability and statistics | 7.00 | I | ||||||
Taxes and Tax Harmonisation in the EU | 7.00 | II | ||||||
Valuation of financial derivatives | 7.00 | II | ||||||
SVIZZERA | UNIVERSITY OF BERN | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Banking Theory | 4.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Economic Growth | 3.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Environmental Economics: Introduction | 4.50 | I | ||||
TECNICA E FINANZA DELLE ASSICURAZIONI | 9.00 | Financial Institutions and Regulations | 3.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Financial Statement Analysis and Valuation | 4.50 | I | ||||
Markets and Moral | 6.00 | I | ||||||
Resource Economics | 4.50 | I | ||||||
Seminar: Economics and Politics of European Integration | 4.00 | I | ||||||
Solving Economic Models with Python | 6.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | FRANKFURT UNIVERSITY OF APPLIED SCIENCES [former FACHHOCHSCHULE FRANKFURT AM MAIN] | 0 | 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Financial Econometrics | 5.00 | I |
ECONOMETRIA I | 6.00 | Financial Reporting and Capital Markets | 5.00 | I | ||||
ECONOMIA DEI MERCATI E DEGLI INTERMEDIARI FINANZIARI INTERNAZIONALI | 6.00 | International Trade and International Business Law | 5.00 | I | ||||
Investment Analysis | 5.00 | I | ||||||
course language deutsche | 5.00 | I | ||||||
digital finance | 5.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 2 | ECONOMETRIA I | 6.00 | Financial Instruments and Markets | 6.00 | II |
ECONOMIA DEI MERCATI E DEGLI INTERMEDIARI FINANZIARI INTERNAZIONALI | 6.00 | Foundations of Business | 6.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 6.00 | Matematica Actuarial | 5.00 | II | ||||
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | Programming | 6.00 | II | ||||
dret fiscal ,bancari i borsai | 5.00 | II | ||||||
finances estocastiques | 5.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
POLONIA | UNIVERSITY OF WARSAW | 0 | 1, 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | 2-week Online Intensive Polish language Course for Erasmus Students | 2.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Asset Allocation and Investment Strategies I | 3.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Data processing and analysis in Python language | 3.00 | I | ||||
Econometrics | 7.00 | I | ||||||
Financial Markets | 4.00 | I | ||||||
Introduction to Quantitative Finance | 3.00 | I | ||||||
Text Mining and Social Media Mining | 4.00 | I | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Controlling and Financial Analysis | 6.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Data Analysis for Business | 5.00 | II | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Econometrics | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Economy of Commerce | 4.00 | I | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Finance | 5.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Math for Economics | 6.00 | I | ||||||
Romanian Course | 6.00 | I | ||||||
Spanish | 2.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
Strategic Management | 4.00 | I | ||||||
SLOVACCHIA | EKONOMICKA UNIVERZITA V BRATISLAVE | 0 | 1, 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Econometrics | 5.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Enterprise Corporate Social Responsibility | 4.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Control | 6.00 | II | ||||
Risk and Uncertainty in Finance | 6.00 | II | ||||||
Statistics | 5.00 | II | ||||||
World Economy | 5.00 | II | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Culture and Business in Asia | 6.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | ECONOMETRIA I | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | FINANCIAL RISK MANAGEMENT | 5.00 | I | ||||
Finance and Insurance Business Management | 6.00 | I | ||||||
QUANTITATIVE RISK MANAGEMENT | 5.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE LA LAGUNA | 0 | 1, 2 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Análisis Multivariante | 6.00 | II |
ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Contabilidad de Instrumentos Financieros | 6.00 | I | ||||
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Contabilidad de sociedades | 6.00 | I | ||||
INTERNATIONAL FINANCE | 9.00 | Curso de Espanol | 2.50 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Dirección y Gestión de la Producción y de las Operaciones | 6.00 | I | ||||
Gestión Bancaria | 6.00 | I | ||||||
Modelización | 6.00 | II | ||||||
Pensamiento economico | 6.00 | I | ||||||
Programación Combinatoria | 6.00 | II | ||||||
UNGHERIA | CORVINUS UNIVERSITY OF BUDAPEST) | 0 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Multivariate Data Analysis | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Advanced Corporate Finance | 6.00 | II | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Environmental Economics | 3.00 | II | ||||
Model UNFCCC - CEMS Climate Change Strategy Role-Play | 6.00 | II | ||||||
Student Managed Investment Fund | 6.00 | II | ||||||
Topics in Measurement of Progress and Well-Being | 3.00 | II | ||||||
UNGHERIA | CORVINUS UNIVERSITY OF BUDAPEST) | 0 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Model UNFCCC - CEMS Climate Change Strategy Role-Play | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | ADV. CORPORATE FINANCE | 6.00 | II | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Environmental Economics | 3.00 | II | ||||
Multivariate Data Analysis | 6.00 | II | ||||||
Student Managed Investment Fund | 6.00 | II | ||||||
Topics in Measurement of Progress and Well-Being | 3.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | FRANKFURT UNIVERSITY OF APPLIED SCIENCES [former FACHHOCHSCHULE FRANKFURT AM MAIN] | 0 | 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Financial Econometrics | 5.00 | I |
ECONOMETRIA I | 6.00 | Financial Reporting and Capital Markets | 5.00 | I | ||||
ECONOMIA DEI MERCATI E DEGLI INTERMEDIARI FINANZIARI INTERNAZIONALI | 6.00 | International Trade and International Business Law | 5.00 | I | ||||
Investment Analysis | 5.00 | I | ||||||
course language deutsche | 5.00 | I | ||||||
digital finance | 5.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 2 | ECONOMETRIA I | 6.00 | Financial Instruments and Markets | 6.00 | II |
ECONOMIA DEI MERCATI E DEGLI INTERMEDIARI FINANZIARI INTERNAZIONALI | 6.00 | Foundations of Business | 6.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 6.00 | Matematica Actuarial | 5.00 | II | ||||
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | Programming | 6.00 | II | ||||
dret fiscal ,bancari i borsai | 5.00 | II | ||||||
finances estocastiques | 5.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
FINLANDIA | JYVASKULAN AMMATTIKORKEAKOULU - JYVASKYLA POLYTECHNIC | 0 | 1 | ECONOMIA E POLITICA MONETARIA CORSO AVANZATO | 6.00 | corporate financial models 1 | 5.00 | I |
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | economics | 5.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | financial management | 5.00 | I | ||||
finnish for beginners 1 | 5.00 | I | ||||||
statistics for managers using microsoft excel part 1 | 5.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | INTERNATIONAL SCHOOL OF MANAGEMENT ISM DORTMUND | 0 | 1 | BANKING AND FINANCIAL REGULATION | 6.00 | Business Ethics | 5.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Implementation of Derivatives | 5.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | International Auditing | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | International Finance Management | 5.00 | II | ||||
International Trade and Sales | 5.00 | II | ||||||
Marketing Controlling | 5.00 | II | ||||||
GERMANIA | ISM INTERNATIONAL SCHOOL OF MANAGEMENT GMBH - GEMEINNUETZIGE GESELLSCHAFT | 0 | 1 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Implementation of Derivatives | 5.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | International Finance Management | 5.00 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | International Financial Reporting | 5.00 | I | ||||
International Trade and Sales | 5.00 | I | ||||||
POLONIA | UNIVERSITY OF WARSAW | 0 | 1, 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | 2-week Online Intensive Polish language Course for Erasmus Students | 2.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Asset Allocation and Investment Strategies I | 3.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Data processing and analysis in Python language | 3.00 | I | ||||
Econometrics | 7.00 | I | ||||||
Financial Markets | 4.00 | I | ||||||
Introduction to Quantitative Finance | 3.00 | I | ||||||
Text Mining and Social Media Mining | 4.00 | I | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Controlling and Financial Analysis | 6.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Data Analysis for Business | 5.00 | II | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Econometrics | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Economy of Commerce | 4.00 | I | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Finance | 5.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Math for Economics | 6.00 | I | ||||||
Romanian Course | 6.00 | I | ||||||
Spanish | 2.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
Strategic Management | 4.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Culture and Business in Asia | 6.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | ECONOMETRIA I | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | FINANCIAL RISK MANAGEMENT | 5.00 | I | ||||
Finance and Insurance Business Management | 6.00 | I | ||||||
QUANTITATIVE RISK MANAGEMENT | 5.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE LA LAGUNA | 0 | 1, 2 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Análisis Multivariante | 6.00 | II |
ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Contabilidad de Instrumentos Financieros | 6.00 | I | ||||
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Contabilidad de sociedades | 6.00 | I | ||||
INTERNATIONAL FINANCE | 9.00 | Curso de Espanol | 2.50 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Dirección y Gestión de la Producción y de las Operaciones | 6.00 | I | ||||
Gestión Bancaria | 6.00 | I | ||||||
Modelización | 6.00 | II | ||||||
Pensamiento economico | 6.00 | I | ||||||
Programación Combinatoria | 6.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
NORVEGIA | Nord universitet- Nord University [former UNIVERSITETET I NORDLAND] | 0 | 2 | FINANZA QUANTITATIVA | 9.00 | Asset allocation and international finance | 7.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Quantitative Finance | 7.50 | I | ||||
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | Statistical and Machine Learning | 7.50 | I | ||||
Strategic analysis | 7.50 | I | ||||||
SLOVENIA | UNIVERZA V LJUBLJANI | 0 | 1, 2 | FINANZA QUANTITATIVA | 9.00 | Econometrics 2,Time-Series and Panel Data Econometrics | 7.00 | II |
PROBABILITA' E PROCESSI STOCASTICI | 12.00 | English For Business And Economics | 6.00 | I | ||||
TEORIA DEL RISCHIO | 6.00 | Introduction to Data Science with Python | 6.00 | II | ||||
Probability and statistics | 7.00 | I | ||||||
Valuation of financial derivates | 7.00 | II | ||||||
SLOVENIA | UNIVERZA V LJUBLJANI | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Behavioral Finance | 7.00 | II |
FINANZA QUANTITATIVA | 9.00 | Derivatives | 7.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 9.00 | Econometrics 2 | 7.00 | II | ||||
METODI STATISTICI PER L'ECONOMIA | 9.00 | Empirical Finance | 7.00 | I | ||||
Probability and statistics | 7.00 | I | ||||||
Taxes and Tax Harmonisation in the EU | 7.00 | II | ||||||
Valuation of financial derivatives | 7.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | TECHNISCHE UNIVERSITÄT MÜNCHEN | 0 | 1, 2 | INTERNATIONAL BANKING AND CAPITAL MARKETS II | 6.00 | Derivatives | 6.00 | II |
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | International Capital Markets and Investment Practice | 3.00 | II | ||||
Investment & Financial Management | 6.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
SPAGNA | UNIVERSIDAD DE LA LAGUNA | 0 | 1, 2 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Análisis Multivariante | 6.00 | II |
ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Contabilidad de Instrumentos Financieros | 6.00 | I | ||||
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Contabilidad de sociedades | 6.00 | I | ||||
INTERNATIONAL FINANCE | 9.00 | Curso de Espanol | 2.50 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Dirección y Gestión de la Producción y de las Operaciones | 6.00 | I | ||||
Gestión Bancaria | 6.00 | I | ||||||
Modelización | 6.00 | II | ||||||
Pensamiento economico | 6.00 | I | ||||||
Programación Combinatoria | 6.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
NORVEGIA | Nord universitet- Nord University [former UNIVERSITETET I NORDLAND] | 0 | 2 | FINANZA QUANTITATIVA | 9.00 | Asset allocation and international finance | 7.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Quantitative Finance | 7.50 | I | ||||
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | Statistical and Machine Learning | 7.50 | I | ||||
Strategic analysis | 7.50 | I | ||||||
OLANDA | MAASTRICHT UNIVERSITY | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Accounting for Financial Markets | 6.50 | I |
METODI E MODELLI PER LA FINANZA | 6.00 | Business Analysis | 6.50 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Stochastic Processes | 6.50 | I | ||||
SLOVENIA | UNIVERZA V LJUBLJANI | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Behavioral Finance | 7.00 | II |
FINANZA QUANTITATIVA | 9.00 | Derivatives | 7.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 9.00 | Econometrics 2 | 7.00 | II | ||||
METODI STATISTICI PER L'ECONOMIA | 9.00 | Empirical Finance | 7.00 | I | ||||
Probability and statistics | 7.00 | I | ||||||
Taxes and Tax Harmonisation in the EU | 7.00 | II | ||||||
Valuation of financial derivatives | 7.00 | II | ||||||
SPAGNA | FLORIDA CENTRE DE FORMACION SOCIEDAD COOPERATIVA | 0 | 1, 2 | METODI E MODELLI PER LA FINANZA | 9.00 | Contabilidad Finaciera | 6.00 | I |
Econometría | 6.00 | I | ||||||
Economía de la Unión Europea y de las Instituciones Internacionales | 6.00 | I | ||||||
Introducción a la inferencia estadística | 6.00 | I | ||||||
Matemática financiera | 6.00 | I | ||||||
Teoría de la financiación | 6.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 2 | ECONOMETRIA I | 6.00 | Financial Instruments and Markets | 6.00 | II |
ECONOMIA DEI MERCATI E DEGLI INTERMEDIARI FINANZIARI INTERNAZIONALI | 6.00 | Foundations of Business | 6.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 6.00 | Matematica Actuarial | 5.00 | II | ||||
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | Programming | 6.00 | II | ||||
dret fiscal ,bancari i borsai | 5.00 | II | ||||||
finances estocastiques | 5.00 | II | ||||||
SVIZZERA | UNIVERSITY OF BERN | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Banking Theory | 4.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Economic Growth | 3.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Environmental Economics: Introduction | 4.50 | I | ||||
TECNICA E FINANZA DELLE ASSICURAZIONI | 9.00 | Financial Institutions and Regulations | 3.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Financial Statement Analysis and Valuation | 4.50 | I | ||||
Markets and Moral | 6.00 | I | ||||||
Resource Economics | 4.50 | I | ||||||
Seminar: Economics and Politics of European Integration | 4.00 | I | ||||||
Solving Economic Models with Python | 6.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
SLOVENIA | UNIVERZA V LJUBLJANI | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Behavioral Finance | 7.00 | II |
FINANZA QUANTITATIVA | 9.00 | Derivatives | 7.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 9.00 | Econometrics 2 | 7.00 | II | ||||
METODI STATISTICI PER L'ECONOMIA | 9.00 | Empirical Finance | 7.00 | I | ||||
Probability and statistics | 7.00 | I | ||||||
Taxes and Tax Harmonisation in the EU | 7.00 | II | ||||||
Valuation of financial derivatives | 7.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
BELGIO | UNIVERSITE LIBRE DE BRUXELLES - CIVIS | 1 | 2 | MODELS FOR RISK AND FORECASTING | 9.00 | Derivatives, Financial risk management & Governance | 10.00 | II |
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Dynamic optimization | 5.00 | II | ||||
Statistical foundations of machine learning | 5.00 | II | ||||||
GERMANIA | ISM INTERNATIONAL SCHOOL OF MANAGEMENT GMBH - GEMEINNUETZIGE GESELLSCHAFT | 0 | 1 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Implementation of Derivatives | 5.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | International Finance Management | 5.00 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | International Financial Reporting | 5.00 | I | ||||
International Trade and Sales | 5.00 | I | ||||||
REGNO UNITO | UNIVERSITY OF SOUTHAMPTON | 0 | 1, 2, 3 | MODELS FOR RISK AND FORECASTING | 9.00 | Financial Portfolio Theory | 3.75 | II |
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Management of Financial RIsk | 7.50 | II | ||||
Python & Forecasting | 7.50 | II | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Controlling and Financial Analysis | 6.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Data Analysis for Business | 5.00 | II | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Econometrics | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Economy of Commerce | 4.00 | I | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Finance | 5.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Math for Economics | 6.00 | I | ||||||
Romanian Course | 6.00 | I | ||||||
Spanish | 2.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
Strategic Management | 4.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE LA LAGUNA | 0 | 1, 2 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Análisis Multivariante | 6.00 | II |
ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Contabilidad de Instrumentos Financieros | 6.00 | I | ||||
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Contabilidad de sociedades | 6.00 | I | ||||
INTERNATIONAL FINANCE | 9.00 | Curso de Espanol | 2.50 | I | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Dirección y Gestión de la Producción y de las Operaciones | 6.00 | I | ||||
Gestión Bancaria | 6.00 | I | ||||||
Modelización | 6.00 | II | ||||||
Pensamiento economico | 6.00 | I | ||||||
Programación Combinatoria | 6.00 | II | ||||||
SPAGNA | UNIVERSIDAD DE LAS ISLAS BALEARES | 0 | 1, 2 | MODELS FOR RISK AND FORECASTING | 9.00 | Anàlisi de Dades Econòmiques | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Direcció Estratègica | 6.00 | II | ||||
Disseny de les Organitzacions | 6.00 | II | ||||||
Economía Financiera | 6.00 | II | ||||||
Inversió i Finançament Empresarial | 6.00 | II | ||||||
Optimización | 6.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
CROAZIA | SVEUCILIŠTE U ZAGREBU | 0 | 1, 2 | ANALISI DELLE SERIE STORICHE | 6.00 | Corporate Finance | 6.00 | I |
DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Corporate Risk Management | 6.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | European Market Law | 6.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Mathematics for Business | 9.00 | I | ||||
OLANDA | MAASTRICHT UNIVERSITY | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Accounting for Financial Markets | 6.50 | I |
METODI E MODELLI PER LA FINANZA | 6.00 | Business Analysis | 6.50 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Stochastic Processes | 6.50 | I | ||||
SVIZZERA | UNIVERSITE' DE FRIBOURG | 0 | 1, 2 | OTTIMIZZAZIONE FINANZIARIA | 9.00 | Corporate governance | 4.50 | II |
Microeconomics of Competitiveness (MOC) | 4.50 | II | ||||||
Policy and Impact Evaluation | 4.50 | II | ||||||
Portfolio Optimization | 6.00 | II | ||||||
Valuation | 3.00 | II | ||||||
SVIZZERA | UNIVERSITY OF BERN | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Banking Theory | 4.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Economic Growth | 3.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Environmental Economics: Introduction | 4.50 | I | ||||
TECNICA E FINANZA DELLE ASSICURAZIONI | 9.00 | Financial Institutions and Regulations | 3.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Financial Statement Analysis and Valuation | 4.50 | I | ||||
Markets and Moral | 6.00 | I | ||||||
Resource Economics | 4.50 | I | ||||||
Seminar: Economics and Politics of European Integration | 4.00 | I | ||||||
Solving Economic Models with Python | 6.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
BELGIO | UNIVERSITÉ LIBRE DE BRUXELLES | 0 | 2, 3 | ANALISI DELLE SERIE STORICHE | 6.00 | Banking and asset management | 5.00 | I |
PROBABILITA' E PROCESSI STOCASTICI | 12.00 | Introduction to econometrics | 5.00 | I | ||||
Quantitative financial risk | 5.00 | I | ||||||
Stochastic models | 5.00 | I | ||||||
Time series analysis 1 | 5.00 | I | ||||||
FINLANDIA | JYVASKULAN AMMATTIKORKEAKOULU - JYVASKYLA POLYTECHNIC | 0 | 1 | ECONOMIA E POLITICA MONETARIA CORSO AVANZATO | 6.00 | corporate financial models 1 | 5.00 | I |
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | economics | 5.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | financial management | 5.00 | I | ||||
finnish for beginners 1 | 5.00 | I | ||||||
statistics for managers using microsoft excel part 1 | 5.00 | I | ||||||
NORVEGIA | Nord universitet- Nord University [former UNIVERSITETET I NORDLAND] | 0 | 2 | FINANZA QUANTITATIVA | 9.00 | Asset allocation and international finance | 7.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Quantitative Finance | 7.50 | I | ||||
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | Statistical and Machine Learning | 7.50 | I | ||||
Strategic analysis | 7.50 | I | ||||||
SLOVENIA | UNIVERZA V LJUBLJANI | 0 | 1, 2 | FINANZA QUANTITATIVA | 9.00 | Econometrics 2,Time-Series and Panel Data Econometrics | 7.00 | II |
PROBABILITA' E PROCESSI STOCASTICI | 12.00 | English For Business And Economics | 6.00 | I | ||||
TEORIA DEL RISCHIO | 6.00 | Introduction to Data Science with Python | 6.00 | II | ||||
Probability and statistics | 7.00 | I | ||||||
Valuation of financial derivates | 7.00 | II | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 1 | ANALISI DELLE SERIE STORICHE | 6.00 | Econometrics I | 6.00 | I |
PROBABILITA' E PROCESSI STOCASTICI | 12.00 | advanced financial instruments:strictured products | 2.50 | I | ||||
english for business | 6.00 | I | ||||||
financial risk management | 5.00 | I | ||||||
international financial economics | 5.00 | I | ||||||
numeric calculation | 2.50 | I | ||||||
programming and applications | 2.50 | I | ||||||
quantitative management of risk | 5.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 2 | ECONOMETRIA I | 6.00 | Financial Instruments and Markets | 6.00 | II |
ECONOMIA DEI MERCATI E DEGLI INTERMEDIARI FINANZIARI INTERNAZIONALI | 6.00 | Foundations of Business | 6.00 | II | ||||
METODI E MODELLI PER LA FINANZA | 6.00 | Matematica Actuarial | 5.00 | II | ||||
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | Programming | 6.00 | II | ||||
dret fiscal ,bancari i borsai | 5.00 | II | ||||||
finances estocastiques | 5.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | INTERNATIONAL SCHOOL OF MANAGEMENT ISM DORTMUND | 0 | 1 | BANKING AND FINANCIAL REGULATION | 6.00 | Business Ethics | 5.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Implementation of Derivatives | 5.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | International Auditing | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | International Finance Management | 5.00 | II | ||||
International Trade and Sales | 5.00 | II | ||||||
Marketing Controlling | 5.00 | II | ||||||
POLONIA | UNIVERSITY OF WARSAW | 0 | 1, 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | 2-week Online Intensive Polish language Course for Erasmus Students | 2.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Asset Allocation and Investment Strategies I | 3.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Data processing and analysis in Python language | 3.00 | I | ||||
Econometrics | 7.00 | I | ||||||
Financial Markets | 4.00 | I | ||||||
Introduction to Quantitative Finance | 3.00 | I | ||||||
Text Mining and Social Media Mining | 4.00 | I | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Banking Operations | 4.00 | II |
BANKING AND FINANCIAL REGULATION | 6.00 | Controlling and Financial Analysis | 6.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Data Analysis for Business | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Insurance and Reinsurance | 5.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Controlling and Financial Analysis | 6.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Data Analysis for Business | 5.00 | II | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Econometrics | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Economy of Commerce | 4.00 | I | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Finance | 5.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Math for Economics | 6.00 | I | ||||||
Romanian Course | 6.00 | I | ||||||
Spanish | 2.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
Strategic Management | 4.00 | I | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | QUANTITATIVE FINANCIAL MODELLING | 9.00 | APPLIED REGRESSION ANALYSIS FOR BEHAVIORAL RESEARCH | 10.00 | I |
STOCHASTIC PROCESSES | 9.00 | ECONOMETRICS | 6.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Finance | 5.00 | I | ||||
Financial Accounting | 5.00 | I | ||||||
SLOVACCHIA | EKONOMICKA UNIVERZITA V BRATISLAVE | 0 | 1, 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Econometrics | 5.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Enterprise Corporate Social Responsibility | 4.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Control | 6.00 | II | ||||
Risk and Uncertainty in Finance | 6.00 | II | ||||||
Statistics | 5.00 | II | ||||||
World Economy | 5.00 | II | ||||||
SPAGNA | UNIVERSIDAD DE BARCELONA | 0 | 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Culture and Business in Asia | 6.00 | I |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | ECONOMETRIA I | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | FINANCIAL RISK MANAGEMENT | 5.00 | I | ||||
Finance and Insurance Business Management | 6.00 | I | ||||||
QUANTITATIVE RISK MANAGEMENT | 5.00 | I | ||||||
SPAGNA | UNIVERSIDAD DE LAS ISLAS BALEARES | 0 | 1, 2 | MODELS FOR RISK AND FORECASTING | 9.00 | Anàlisi de Dades Econòmiques | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Direcció Estratègica | 6.00 | II | ||||
Disseny de les Organitzacions | 6.00 | II | ||||||
Economía Financiera | 6.00 | II | ||||||
Inversió i Finançament Empresarial | 6.00 | II | ||||||
Optimización | 6.00 | II | ||||||
UNGHERIA | CORVINUS UNIVERSITY OF BUDAPEST) | 0 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Multivariate Data Analysis | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Advanced Corporate Finance | 6.00 | II | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Environmental Economics | 3.00 | II | ||||
Model UNFCCC - CEMS Climate Change Strategy Role-Play | 6.00 | II | ||||||
Student Managed Investment Fund | 6.00 | II | ||||||
Topics in Measurement of Progress and Well-Being | 3.00 | II | ||||||
UNGHERIA | CORVINUS UNIVERSITY OF BUDAPEST) | 0 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Model UNFCCC - CEMS Climate Change Strategy Role-Play | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | ADV. CORPORATE FINANCE | 6.00 | II | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Environmental Economics | 3.00 | II | ||||
Multivariate Data Analysis | 6.00 | II | ||||||
Student Managed Investment Fund | 6.00 | II | ||||||
Topics in Measurement of Progress and Well-Being | 3.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
BELGIO | UNIVERSITE LIBRE DE BRUXELLES - CIVIS | 1 | 2 | MODELS FOR RISK AND FORECASTING | 9.00 | Derivatives, Financial risk management & Governance | 10.00 | II |
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Dynamic optimization | 5.00 | II | ||||
Statistical foundations of machine learning | 5.00 | II | ||||||
GERMANIA | TECHNISCHE UNIVERSITÄT MÜNCHEN | 0 | 1, 2 | INTERNATIONAL BANKING AND CAPITAL MARKETS II | 6.00 | Derivatives | 6.00 | II |
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | International Capital Markets and Investment Practice | 3.00 | II | ||||
Investment & Financial Management | 6.00 | II | ||||||
REGNO UNITO | UNIVERSITY OF SOUTHAMPTON | 0 | 1, 2, 3 | MODELS FOR RISK AND FORECASTING | 9.00 | Financial Portfolio Theory | 3.75 | II |
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Management of Financial RIsk | 7.50 | II | ||||
Python & Forecasting | 7.50 | II | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Controlling and Financial Analysis | 6.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Data Analysis for Business | 5.00 | II | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Econometrics | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Economy of Commerce | 4.00 | I | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Finance | 5.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Math for Economics | 6.00 | I | ||||||
Romanian Course | 6.00 | I | ||||||
Spanish | 2.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
Strategic Management | 4.00 | I | ||||||
UNGHERIA | CORVINUS UNIVERSITY OF BUDAPEST) | 0 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Multivariate Data Analysis | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Advanced Corporate Finance | 6.00 | II | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Environmental Economics | 3.00 | II | ||||
Model UNFCCC - CEMS Climate Change Strategy Role-Play | 6.00 | II | ||||||
Student Managed Investment Fund | 6.00 | II | ||||||
Topics in Measurement of Progress and Well-Being | 3.00 | II | ||||||
UNGHERIA | CORVINUS UNIVERSITY OF BUDAPEST) | 0 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Model UNFCCC - CEMS Climate Change Strategy Role-Play | 6.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | ADV. CORPORATE FINANCE | 6.00 | II | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Environmental Economics | 3.00 | II | ||||
Multivariate Data Analysis | 6.00 | II | ||||||
Student Managed Investment Fund | 6.00 | II | ||||||
Topics in Measurement of Progress and Well-Being | 3.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | QUANTITATIVE FINANCIAL MODELLING | 9.00 | APPLIED REGRESSION ANALYSIS FOR BEHAVIORAL RESEARCH | 10.00 | I |
STOCHASTIC PROCESSES | 9.00 | ECONOMETRICS | 6.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Finance | 5.00 | I | ||||
Financial Accounting | 5.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
SVIZZERA | UNIVERSITY OF BERN | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Banking Theory | 4.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Economic Growth | 3.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Environmental Economics: Introduction | 4.50 | I | ||||
TECNICA E FINANZA DELLE ASSICURAZIONI | 9.00 | Financial Institutions and Regulations | 3.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Financial Statement Analysis and Valuation | 4.50 | I | ||||
Markets and Moral | 6.00 | I | ||||||
Resource Economics | 4.50 | I | ||||||
Seminar: Economics and Politics of European Integration | 4.00 | I | ||||||
Solving Economic Models with Python | 6.00 | I |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
SLOVENIA | UNIVERZA V LJUBLJANI | 0 | 1, 2 | FINANZA QUANTITATIVA | 9.00 | Econometrics 2,Time-Series and Panel Data Econometrics | 7.00 | II |
PROBABILITA' E PROCESSI STOCASTICI | 12.00 | English For Business And Economics | 6.00 | I | ||||
TEORIA DEL RISCHIO | 6.00 | Introduction to Data Science with Python | 6.00 | II | ||||
Probability and statistics | 7.00 | I | ||||||
Valuation of financial derivates | 7.00 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
GERMANIA | INTERNATIONAL SCHOOL OF MANAGEMENT ISM DORTMUND | 0 | 1 | BANKING AND FINANCIAL REGULATION | 6.00 | Business Ethics | 5.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Implementation of Derivatives | 5.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | International Auditing | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | International Finance Management | 5.00 | II | ||||
International Trade and Sales | 5.00 | II | ||||||
Marketing Controlling | 5.00 | II | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ADVANCED STATISTICS FOR FINANCE | 6.00 | Banking Operations | 4.00 | II |
BANKING AND FINANCIAL REGULATION | 6.00 | Controlling and Financial Analysis | 6.00 | II | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Data Analysis for Business | 5.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Insurance and Reinsurance | 5.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Controlling and Financial Analysis | 6.00 | II |
FINANCIAL OPTIMIZATION AND ASSET MANAGEMENT | 6.00 | Data Analysis for Business | 5.00 | II | ||||
MODELS FOR RISK AND FORECASTING | 9.00 | Econometrics | 6.00 | I | ||||
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Economy of Commerce | 4.00 | I | ||||
RISK MANAGEMENT AND CAPITAL REQUIREMENTS | 9.00 | Finance | 5.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Analysis | 4.00 | II | ||||
Math for Economics | 6.00 | I | ||||||
Romanian Course | 6.00 | I | ||||||
Spanish | 2.00 | II | ||||||
Statistics for Business | 6.00 | II | ||||||
Strategic Management | 4.00 | I | ||||||
ROMANIA | UNIVERSITATEA DIN BUCURESTI - CIVIS | 1 | 1, 2, 3 | QUANTITATIVE FINANCIAL MODELLING | 9.00 | APPLIED REGRESSION ANALYSIS FOR BEHAVIORAL RESEARCH | 10.00 | I |
STOCHASTIC PROCESSES | 9.00 | ECONOMETRICS | 6.00 | I | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Finance | 5.00 | I | ||||
Financial Accounting | 5.00 | I | ||||||
SLOVACCHIA | EKONOMICKA UNIVERZITA V BRATISLAVE | 0 | 1, 2 | ECONOMETRICS FOR FINANCIAL MARKETS | 12.00 | Econometrics | 5.00 | II |
QUANTITATIVE FINANCIAL MODELLING | 9.00 | Enterprise Corporate Social Responsibility | 4.00 | II | ||||
TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | Financial Control | 6.00 | II | ||||
Risk and Uncertainty in Finance | 6.00 | II | ||||||
Statistics | 5.00 | II | ||||||
World Economy | 5.00 | II | ||||||
SVIZZERA | UNIVERSITY OF BERN | 0 | 1, 2 | TIME SERIES AND FINANCIAL TIME SERIES | 9.00 | derivatives | 6.00 | II |
international financial regulation | 5.00 | II | ||||||
investments | 6.00 | I | ||||||
machine learning in economics | 4.50 | II | ||||||
portfolio optimisation | 6.00 | II | ||||||
risk management | 6.00 | II | ||||||
stochastic processes 2 | 6.00 | II | ||||||
time series analysis 1 | 4.50 | II |
Nazione | Università Estera | Civis | Livello | Esame Sapienza | CFU | Esame Estero | CFU Estero | Semestre Estero |
---|---|---|---|---|---|---|---|---|
CROAZIA | SVEUCILIŠTE U ZAGREBU | 0 | 1, 2 | ANALISI DELLE SERIE STORICHE | 6.00 | Corporate Finance | 6.00 | I |
DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Corporate Risk Management | 6.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | European Market Law | 6.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Mathematics for Business | 9.00 | I | ||||
FINLANDIA | JYVASKULAN AMMATTIKORKEAKOULU - JYVASKYLA POLYTECHNIC | 0 | 1 | ECONOMIA E POLITICA MONETARIA CORSO AVANZATO | 6.00 | corporate financial models 1 | 5.00 | I |
PROBABILITA' E PROCESSI STOCASTICI | 9.00 | economics | 5.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | financial management | 5.00 | I | ||||
finnish for beginners 1 | 5.00 | I | ||||||
statistics for managers using microsoft excel part 1 | 5.00 | I | ||||||
SVIZZERA | UNIVERSITY OF BERN | 0 | 1, 2 | DIRITTO DEL MERCATO E DEGLI STRUMENTI FINANZIARI | 6.00 | Banking Theory | 4.50 | I |
METODI E MODELLI PER LA FINANZA | 9.00 | Economic Growth | 3.00 | I | ||||
OTTIMIZZAZIONE FINANZIARIA | 9.00 | Environmental Economics: Introduction | 4.50 | I | ||||
TECNICA E FINANZA DELLE ASSICURAZIONI | 9.00 | Financial Institutions and Regulations | 3.00 | I | ||||
VALUTAZIONE D'AZIENDA | 6.00 | Financial Statement Analysis and Valuation | 4.50 | I | ||||
Markets and Moral | 6.00 | I | ||||||
Resource Economics | 4.50 | I | ||||||
Seminar: Economics and Politics of European Integration | 4.00 | I | ||||||
Solving Economic Models with Python | 6.00 | I |