Students
Tuition Fee
Start Date
Medium of studying
On campus
Duration
2 years
Details
Program Details
Degree
Masters
Major
Finance | Financial Planning | Risk Management
Area of study
Business and Administration
Education type
On campus
Course Language
English
About Program

Program Overview


Program Overview

The program in Financial Institutions, International Finance, and Risk Management is a Master's degree course offered by the Faculty of Economia at Sapienza Università di Roma.


Program Details

  • Programme code: 33446
  • Test code: 33446
  • Course type: Master's degree
  • Bachelor class: LM-77
  • Duration: 2 years
  • Access procedure: Verification of requirements and personal preparation
  • Faculty: Economia
  • Department: MANAGEMENT
  • Language: Italian, English
  • Lesson mode: Conventional - in Person

Course Structure

The course is structured to provide students with a comprehensive understanding of financial institutions, international finance, and risk management. The program includes a range of educational objectives, professional opportunities, and study plans designed to equip students with the knowledge and skills necessary for success in their chosen field.


Educational Objectives

The educational objectives of the program are not explicitly stated in the provided content. However, the program's focus on financial institutions, international finance, and risk management suggests that students will gain a deep understanding of these areas and develop the skills necessary to apply this knowledge in professional settings.


Professional Opportunities

The program is designed to provide students with a range of professional opportunities. While specific details are not provided, the program's focus on financial institutions, international finance, and risk management suggests that graduates will be well-equipped to pursue careers in these fields.


Study Plan

The study plan for the program is not explicitly stated in the provided content. However, the program's structure and course offerings suggest that students will engage in a comprehensive and rigorous academic program designed to provide a deep understanding of financial institutions, international finance, and risk management.


Degree Programme Choice Orientation

The program offers degree programme choice orientation, which is designed to help students navigate the program and make informed decisions about their academic and professional paths.


International Experiences

The program includes international experiences, which provide students with the opportunity to engage with global perspectives and develop a deeper understanding of financial institutions, international finance, and risk management in a global context.


Lecturers

The program is taught by experienced lecturers who are experts in their fields. While specific details about the lecturers are not provided, the program's reputation and academic rigor suggest that students will learn from highly qualified and experienced instructors.


Organisation and Contacts

The program is organized and administered by the Faculty of Economia at Sapienza Università di Roma. While specific contact information is not provided, students and prospective students can likely find more information about the program through the university's website or by contacting the faculty directly.


Quality Assurance (QA)

The program is subject to quality assurance (QA) processes, which are designed to ensure that the program meets high standards of academic rigor and quality. While specific details about the QA processes are not provided, the program's reputation and accreditation suggest that students can expect a high-quality academic experience.


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