Andrea Berardi

foto,  March 12, 2012
E-mail
andrea|berardi*univr|it <== Replace | with . and * with @ to have the right email address.
Not present since
September 30, 2014
Note
In aspettativa dal 1/10/2012 al 30/09/2013

Modules

Modules running in the period selected: 45.
Click on the module to see the timetable and course details.

Course Name Total credits Online Teacher credits Modules offered by this teacher
Master’s degree in Banking and Finance Derivatives (2013/2014)   9  eLearning
Master’s degree in Banking and Finance Financial risk management (2013/2014)   9  eLearning
Master’s degree in Banking and Finance Derivatives (2011/2012)   9  eLearning
Master’s degree in Banking and Finance Financial risk management (2011/2012)   9  eLearning
Master’s degree in Banking and Finance Derivatives (2010/2011)   9  eLearning
Bachelor's degree in Applied Mathematics Financial Market Mathematics (2010/2011)   12    (Parte 2)
Degree in Business studies (until 2008-2009) Financial mathematics (2010/2011)   10  eLearning
Master’s degree in Banking and Finance Financial risk management (2010/2011)   6  eLearning
Bachelor's degree in Applied Mathematics Financial Market Mathematics (2009/2010)   12   
Master's degree in Quantitative Methods for Finance (until 2008-2009) Quantitative Models for Risk Management (2009/2010)   10    10 
Masters (level 1) in Business Intelligence e Knowledge Management Finance (2009/2010)   2    0.5 
University Masters Degree in Internal Auditing (Level I) Fondamenti statistici e tecniche finanziarie (2009/2010)   2    0.5 
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la gestione di portafoglio II (2009/2010)   5   
Master's degree in Quantitative Methods for Finance (until 2008-2009) Quantitative Models for Risk Management (2008/2009)   10    1 - lezione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la gestione di portafoglio II (2008/2009)   5    1 - lezione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la valutazione degli strumenti finanziari derivati (2008/2009)   5    1 - lezione
2 - esercitazione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Quantitative Models for Risk Management (2007/2008)   10    Lezione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la gestione di portafoglio II (2007/2008)   5    Lezione
Esercitazione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la valutazione degli strumenti finanziari derivati (2007/2008)   5    Lezione
Esercitazione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Quantitative Models for Risk Management (2006/2007)   10    lezione 1
esercitazione 1
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la gestione di portafoglio II (2006/2007)   5    lezione
esercitazione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la valutazione degli strumenti finanziari derivati (2006/2007)   5    lezione
esercitazione
Master's degree in Quantitative Methods for Finance (until 2008-2009) Quantitative Models for Risk Management (2005/2006)   10    LEZIONE
ESERCITAZIONE
Master's degree in Quantitative Methods for Finance (until 2008-2009) Modelli per la gestione di portafoglio (2005/2006)   10    LEZIONE 2
ESERCITAZIONE 2
Bachelor's degree in Economics and Commerce (category 17) Financial Market Mathematics (2004/2005)   4   
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Models for bond portfolio management (2004/2005)   4   
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Models for Evaluating Derivate Shares (2004/2005)   4   
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Quantitative Models for Risk Management (2004/2005)   4   
Bachelor in Market Economics and Brokerage (cat. 17) Financial Market Mathematics (2003/2004)   4     
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Models for Evaluating Derivate Shares (2003/2004)   4   
Bachelor in Business Studies (old system) Models for Evaluating Derivate Shares (2003/2004)   0     
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Quantitative Models for Risk Management (2003/2004)   4   
Bachelor in Business Studies (old system) Quantitative Models for Risk Management (2003/2004)   0     
Bachelor's degree in Company Economics (cat. 17) Mathematics for Economic-Financial Decisions [Cognomi A-K] (2002/2003)   4     
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Models for Evaluating Derivate Shares (2002/2003)   4   
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Quantitative Models for Risk Management (2002/2003)   4   
Bachelor in Market Economics and Brokerage (cat. 17) Mathematics for Economic-Financial Decisions (2001/2002)   4     

 




Andrea Berardi
Office Collegial Body
Teaching Staff Body for the Doctorate in international research in Economics and Finance
Scientific Committee for the 1st level University Master in Management and Development of Human Resources
Scientific Commission for the University Master in Economy and Finance - Economic and Financial Research and Analysis Expert
member Consiglio dei Corsi di Laurea e Laurea Magistrale con sede a Verona
Personale Docente del Dipartimento di Scienze Economiche