• Imparte:
  • Modalidad:
    Presencial en Madrid
  • Precio:
    Consultar rellenando el formulario
  • Comienzo:
    Consultar rellenando el formulario
  • Lugar:
    c/ Alfonso XI, nº 6
    Madrid 28014
    España
  • Duración:
    600 Horas
  • Titulación:
    The qualification obtained at the end of the programme is the Master in International Finance Degree. It is issued by the Academic Board of the IEB. A diploma will also be issued by IEB’s Partners for each academic stay.

Presentación

Nº 1 RANKING El Mundo 2023.

The methodology followed is highly practical, based on rigorous and up-to-date contents. Throughout the Master, students are offered examples of how to apply the theoretical concepts seen in class to the day- to-day financial world. In addition, for each study module, students have to carry out exercises, case studies and a group case presentation relating to the material covered.

Therefore, the theoretical classes will alternate with practical ones in which the students will also use the appropriate IT tools. IEB’s IT room and treasury desk, very similar to those found in any brokerage firm, allows students to put into practice their theoretical knowledge through the use of Bloomberg and real-time trading on IEB’s online portfolio simulation trading platform. Bloomberg is also proactively used by the teachers in class to show examples of the concepts taught.

Another factor that contributes to the practical nature of the Master is the fact that most of the professors are themselves highly respected financial professionals in their area of expertise.

Moreover, the Master aims to promote personal development and teamwork through group exercises, case studies and presentations.

Finally, the technical knowledge required from the students will also be tested throughout the Master via exams, exercises, case studies and research papers. All students are required to complete a compulsory Final Project, which they will be presenting in front of a jury panel, and in which they are expected to put into practice all the knowledge acquired throughout the programme.

Dirigido

The Master is aimed at undergraduate students from all fields of study with a good level of English, as well as professionals with no more than four years working experience in finance or looking to change from their current field of work to the world of finance.

Objetivos

Give students a broad and professional knowledge of all areas of finance from top business schools
Offer a practical and up-to-date point of view for the topics covered in the course through examples of how to apply the theoretical concepts to the day-to-day financial world
Prepare students to the working environment through the use of Bloomberg as a primary teaching tool and numerous presentations throughout the degree

Programa

MODULE I: FOUNDATION COURSE
1. Introduction to Financial Markets
2. Introduction to Corporate Finance
3. Bloomberg Basics
4. Introduction to Excel
5. Principles of Accounting

MODULE II: QUANTITATIVE METHODS APPLIED TO FINANCE
1. Financial Maths
2. Statistics
3. Statistics Applied to Finance

MODULE III: ECONOMICS
1. Economics

MODULE IV: CORPORATE I
1. Accounting Review
2. Capital Budgeting
3. Capital Structure
4. Cost of Capital
5. Creative Accounting
6. Fundamental Analysis
7. International Financial Reporting Standards (IFRS)

MODULE V: CORPORATE II
1. Financial Sector Valuation
2. Digital Banking
3. Credit Risk
4. Credit Risk Analysis
5. Corporate Valuation
6. Financial Forecasting and Planning
7. Working Capital Management
8. Financial Modelling

MODULE VI: CORPORATE III
1. Origination
2. Business International Law
3. Corporate Governance
4. Corporate Restructuring
5. Mergers & Acquisitions
6. Mergers & Acquisitions Legal Aspects
7. Takeovers
8. Private Equity
9. Project Finance
10. Securitization
11. Trade Finance

MODULE VII: FINANCE I
1. Money Markets
2. Foreign Exchange
3. Equity Markets
4. Fixed Income Products
5. FX Derivatives
6. Equity Derivatives
7. Fixed Income Derivatives
8. Exotic Options
9. Credit Derivatives
10. Technical Analysis
11. Applied Portfolio Management
12. Value Adjustments

MODULE VIII: FINANCE II
1. China & Rest of Asia
2. Geopolitical Risk and Financial Markets
3. Hedge Funds
4. Regulation
5. Risk Management
6. Structured Products
7. Taxation (International)
8. Wealth Management
9. Fintech
10. Blockchain
11. Behavioral Finance

MODULE IX: SKILLS
1. Advanced Excel
2. Ethics
3. International Negotiation
4. Negotiation Skills
5. Presentation Skills
6. Portfolio Management Simulation

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Publicidad

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