Courses a.y. 2020/2021
20127 FINANZA AZIENDALE (Introduzione alle valutazioni) / CORPORATE FINANCE (Business valuation)
20198 FINANZA AZIENDALE E DEI MERCATI / FINANCIAL MANAGEMENT AND FINANCIAL MARKETS
20542 FINANCIAL RISK MANAGEMENT NELLE AZIENDE [CORPORATE FINANCIAL RISK MANAGEMENT]
30017 FINANZA AZIENDALE / CORPORATE FINANCE
Degree in Economics and Management, Università degli studi di Bergamo. PhD in Business Administration, Bocconi University. Visiting Scholar, Department of Risk management and Insurance, Georgia State University, Atlanta, Georgia, USA.
Associate Professor of Corporate Finance. Director, Master of Science in Finance. Lecturer on Corporate Finance and Corporate Financial Risk Management on undergraduate, graduate and master programs (both in Italian and English).
Corporate finance, corporate valuation, acquisition financing, Debt refinencing/restructuring, enterprise risk management, financial risk management (hedging strategy derivtives valuations and accounting)
Conti C. (2012), La proposta di riforma del mercato dei derivati OTC: alcune implicazioni per le imprese, Economia e Management n.3, pag. 19-29.
Conti C., Mauri A. (2008), Corporate Financial Risk Management: Governance and Disclosure Post IFRS, The Icfai Journal of Financial Risk Management, Vol. V, N.2, June 2008, pag.20
Conti C. (2006), Introduzione al Corporate Financial Risk Management, Pearson Education