Teaching
2023 - 2024 Global Finance (MIB PGP - 32h + coordination), Debt Securities (Msc - 24h + coordination), Data Visualization for Finance (Ba - 45h), Master’ Thesis Supervision: 8.
2022 - 2023 Financial Instruments and Technology (Ba - 2*16h + coordination), Global Finance (MIB PGP - 32h + coordination), Debt Securities (Msc - 24h + coordination), Programming in Finance using R (Msc - 16h + coordination), Data Visualization for Finance (Ba - 45h), Master’ Thesis Supervision: 10.
2021 - 2022 Financial Markets (Ba - 3*24h), Global Finance (MIB PGP - 32h + coordination), Fixed Income (Msc - 24h + coordination), Programming in Finance using R (Msc - 16h + coordination), Master’ Thesis Supervision: 10.
2020 - 2021 Financial Markets (Ba - 3*24h), Global Finance (MIB PGP - 32h + coordination), Fixed Income (Msc - 24h + coordination), Programming in Finance using R (Msc - 16h + coordination), Master’ Thesis Supervision: 10.
2019 - 2020 Financial Markets (Ba - 2*24h), Technical Analysis (Msc - 16h + coordination), Global Finance (MIB PGP - 32h + coordination), Master’ Thesis Supervision: 10.
2018 - 2019 Financial Markets (Ba - 2*24h), Technical Analysis (Msc - 16h + coordination), Global Finance (MIB PGP - 32h + coordination), Master’ Thesis Supervision: 9.
2017 - 2018 Financial Markets (Ba - 2*24h), Technical Analysis (Msc - 16h + coordination), Global Finance (MIB PGP - 32h + coordination), Master’ Thesis Supervision: 10.
2016 - 2017 Financial Markets (Ba - 3*24h), Technical Analysis (Msc - 16h + coordination), Programming in SAS (MBK PGP - 16h + coordination), Global Finance (MIB PGP - 40h + coordination), Introduction to Financial Data Services (Msc - 10h), Master’ Thesis Supervision: 10.
2015 - 2016 Financial Markets (Ba - 3*24h), Credit Risk Management (Msc - 16h + coordination), Technical Analysis (Msc - 2*16h + coordination), Econometrics for Asset and Risk Managers (Msc - 16h + coordination), Empirical Asset Pricing (Msc - 16h), Programming in SAS (MBK PGP - 16h + coordination), Global Finance (MIB PGP - 40h + coordination), Master’ Thesis Supervision: 6.
2014 - 2015 Financial Markets (Ba - 2*24h), Credit Risk Management (Msc - 16h), Technical Analysis (Msc - 2*16h + coordination), Financial Econometrics (Msc - 2*16h + coordination), Master’ Thesis Supervision: 3.
2010 - 2014 Case Studies in Finance (Msc - 30h – different interventions during the course)
2010 – 2014 Masters’ Thesis supervision : 10
Copyright: Dr. Paolo MAZZA, PhD, Associate Professor of Finance, IESEG School of Management.