Federico Gorini

Federico Gorini

Courses

Treasury :
1.1 Treasury in a nutshell
1.2 Interest rate Risk, Rotation Risk and Basis Risk
1.3 Prepayment Risk, mortgages convexity and behavioral modeling
2.4 Instruments for managing IRR
2.5 Bloomberg functions

Bank Finance:
2.1 Promise of return on equity to shareholders
2.2 Focus on some activities to manage return on equity and costs
2.3 Some hints about “shareholders promise on cost management”

Category