Máster de Formación Permanente en Mercados Financieros
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Presencial
This programme combines:
courses with a strong focus on how markets actually work in practice, given by an unparalleled cast of senior practitioners and regulators and of highly respected academics
an opportunity for a 3-month internship in a top-quality institution.
In which other programme do you have as professors the, the Executive Chairman of a large London-based hedge fund, the chief banking regulator of the European Commission, a senior official of a Eurozone central bank in charge of financial stability, executives of London-based private equity firms a senior official of the Financial Stability Board, but also current or former Chief Executive Officers, Chief Financial Officers, Chief Risk Officers and other senior officials of banks, asset managers and public institutions like the IMF, , the ECB and the EIB
Eligible applicants must hold one of the following:
– a master’s degree (four or five years of study)
– a post-graduate degree
– a bachelor’s degree followed by one to three years of work experience
– another degree equivalent to the above (please consult us for more information)
The Advanced Master in Financial Markets seeks:
High calibre students
students with an outstanding academic background, and the intellectual curiosity and discipline that are necessary to succeed in a very demanding environment
candidates with at least a graduate degree or equivalent. This degree can be, in economics, management or finance, but also in other disciplines, such as law, mathematics, engineering or international relations
young professionals already active in the financial industry seek
Understand the financial markets much better than other graduating students or even many young professionals
Make robust assessments of theoretical and policy-related issues, thanks to the sharing of experience of the senior practitioners and top-level academics teaching the courses
Be more effective and more creative in your professional environments and therefore, be a more accomplished performer in the financial sector, able to progress faster to senior levels.
Make yourself substantially more attractive to preferred employers and better leverage your potential in your professional career.
ERM 1
Principles of Finance*
Principles of Economics*
Overview of Financial Markets and Regulation
Corporate Reporting
Corporate Finance and Asset Valuation
TERM 2
Financial Infrastructures
European Integration
Historical Analysis of Finance and Financial crises
Investment Banking
TERM 3
Risk & Risk Management in Financial Institutions
Hedge Funds
Investment Funds and Post-Trading
Banking and Insurance
TERM 4
Private Equity
Portfolio and Investments
ECB, Central Banks and Banking Regulation
Competition Policy
INTERNSHIP OR MASTER THESIS
* Participants may choose to swap the Principles of Finance and Principles of Economics courses for quantitative finance courses, depending on their finance and economic background.
Graduates of this master can look forward to job opportunities with a faster advancement potential in a broad range of companies, including:
banks
investment banks
asset managers & global custodians
hedge funds and private equity firms
consulting firms
audit firms
regulatory agencies
universities and research agencies