SUSTAINABLE FINANCE
Obiettivi formativi
This course aims to provide participants with a general understanding of the broad and growing topic of sustainable finance. More specifically, it aims to describe the origins of climate risk, its impact on financial markets and institutions, and the role of financial institutions in combating climate change.
Risultati di apprendimento attesi
Knowledge and understanding
By participating in the lectures and practical activities of the course, the student will learn about the importance of climate risks for financial markets and institutions. The student will understand the key aspects of climate risk, how financial markets and institutions react to it, and the role of finance in transitioning to a net-zero economy.
Applying knowledge and understanding
The student will be able to apply the methods and tools conveyed in the course to assess financial institutions' exposure to climate risks and the effectiveness of initiatives like impact investing.
Making judgements
Applying the methodologies conveyed in the course, the student will have acquired problem analysis skills and the ability to identify the information necessary for their solution. Specifically, critical thinking, problem-solving, self-management, teamwork, relationship, and communication skills will be adequately developed, enhancing and making the disciplinary skills more usable.
Communication skills
At the end of the course, students will be proficient in using the business and technical vocabulary of sustainable finance, addressing issues related to sustainable finance with terminological accuracy. They will have ample opportunities to practice these communication skills in various contexts, adapting their language to different interlocutors. The course will equip them with advanced rhetorical skills crucial for their professional success.
Learning skills
The technical-economic knowledge acquired during the course will allow the student to autonomously understand and interpret methodologies and techniques related to sustainable finance and adapt them to the specific reference context. The student will develop a solid knowledge of the subject's fundamental aspects, allowing him to deepen the topics addressed independently and work in sustainable finance-related contexts.
Contenuti Del Corso
The course will focus on the following main topics:
1. Measuring climate risks
2. Pricing of climate risks
3. Asset management
4. Sustainable financial instruments
5. Climate risk exposure of financial institutions
6. Impact investing
7. Policies and regulatory frameworks
Testi Di Riferimento
The course will be based on academic articles. All material will be provided in class.
Metodologie Didattiche
Lectures, case studies, discussions, and group exercises
Modalità di verifica dell'apprendimento
The final grade consists of three components:
-Three group assignments. The assignment's grade counts for each member of the group. Each assignment is worth 10% of the final grade.
-A group presentation in the last week of the semester. The presentation's grade counts for each member of the group. The presentation's grade is worth 20% of the final grade.
-A final exam that is written individually. The exam's grade is worth 50% of the final grade.
Criteri per l’assegnazione dell’elaborato finale
Interview with lecturer
Settimana 1
Introduction & Climate Risks
Settimana 2
Measuring Climate Risks
Settimana 3
Pricing of Climate Risks
Settimana 4
Pricing of Climate Risks (cont'd)
Settimana 5
Asset Management
Settimana 6
Climate Risk Exposure of Financial Institutions
Settimana 7
Climate Risk Exposure of Financial Institutions (cont'd)
Settimana 8
Sustainable Financial Instruments
Settimana 9
Impact Investing
Settimana 10
Policies & Regulatory Frameworks
Settimana 11
Policies & Regulatory Frameworks (cont'd)
Settimana 12
Future Trends & Challenges