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MASSIMO GUIDOLIN

Teaching > Exam papers

  • Exam papers
  • - 20263 - ADVANCED TOOLS FOR RISK MANAGEMENT AND ASSET PRICING (CORRELATION AND DEPENDENCE MODELLING)
       A.Y. 2014/2015 - Class: 31
       A.Y. 2015/2016 - Class: 31
    - 20541 - ADVANCED QUANTITATIVE METHODS FOR ASSET PRICING AND STRUCTURING
       A.Y. 2016/2017 - Class: 31
       A.Y. 2017/2018 - Class: 31
       A.Y. 2018/2019 - Class: 31
  • Last update 10/10/2018
  • Sample questions (part I only)
  • - 20135 - TEORIA DELLA FINANZA / THEORY OF FINANCE
       A.Y. 2014/2015 - Classes: 15, 16, 17
       A.Y. 2015/2016 - Classes: 15, 16, 17
       A.Y. 2016/2017 - Classes: 15, 16, 17
       A.Y. 2017/2018 - Classes: 15, 16, 17
  • Last update 30/09/2019
  • Questions to prepare the exam
  • - 20192 - FINANCIAL ECONOMETRICS AND EMPIRICAL FINANCE - MODULE 2
       A.Y. 2011/2012 - Classes: 14, 15, 16
       A.Y. 2012/2013 - Classes: 15, 16, 17
       A.Y. 2013/2014 - Classes: 15, 16, 17
       A.Y. 2014/2015 - Classes: 15, 16, 17
       A.Y. 2015/2016 - Classes: 15, 16, 17
       A.Y. 2016/2017 - Classes: 15, 16, 17
       A.Y. 2017/2018 - Classes: 15, 16, 17
       A.Y. 2018/2019 - Classes: 15, 16, 17
  • Last update 08/07/2019