HEC Liege Management School Belgium

Master in Management. Specialisation in Banking and Asset Management - Especialización en Banca y Gestión de Activos

HEC Liege Management School Belgium
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  • Imparte:
  • Modalidad:
    Presencial en Liege
  • Precio:
    Información no disponible
  • Comienzo:
    Información no disponible
  • Lugar:
    Rue Louvrex 14
    Liege 4000
    Bélgica
  • Duración:
    2 Años
  • Idioma:
    El Master se imparte en Inglés

Presentación

Are you attracted to a career in Market finance, Accounting, Financial, Audit and legal techniques ? The creation of companies that generate social and environmental added value ? A strategic position linked to HR Management and the organization of work ?
Our MSc in Management (120 ECTS – 2 years) is made for you.

The specialization in Banking and Asset Management offers a wide-ranging yet in-depth program, organized around the major areas of financial organization and market management. It aims to provide students with thorough knowledge of the key principles of financial markets as well as of the most innovative and sophisticated calculus and optimization procedures needed to master the financial instruments traded on markets. Essentially, students are required to be able to apply rather than develop these principles and methods. This orientation targets students interested in a wide range of positions in financial markets as well as other job opportunities while enrolling in a program providing fast access to the professional world.

Dirigido

for students who are attracted by a broad range of jobs in market finance;
for students who are attracted by jobs as financial analysts, professions in the world of private equity or corporate finance consultancy;
for those who wish to maintain a broad spectrum of career opportunities while choosing a curriculum that will enable them to fit into a professional environment as quickly as possible.

Objetivos

This course gives students specialized skills in:

portfolio management
financial analysis
management of institutions
investment decisions (project financing and acquisition/financing of companies).
The focus is on the application of these principles and methods rather than their development by the students.

Programa

Banking and Insurance (english language)
Financial Derivatives (english language) -
Investments and Portfolio Management (english language)
Fund Industry (english language)

Choose two courses out of the following :
Ethics, Regulation and Compliance in Finance (english language)
Law and Taxation of Financial Institutions
Financial Risk Management (english language)
International Finance (english language)
Advanced Corporate Finance and Modeling (english language)
Estate and Financial planning (english language)

Salidas profesionales

financial analysts
fund and asset managers
financial market consultants and professionnals,

Competencias

reasoning and knowledge in the fields of management of financial institutions and fund management;
detailed knowledge of financial institutions, financial markets and tools, the way they function and how to use them;
mastering concepts and problems linked to portfolio management and financial risk management;
mastering concepts and problems linked to investment decisions entailing company assessment and finance structuring (Mergers and Acquisitions, Private Equity, Venture Capital);
learning the basics of market and company finance and developing expertise and rigor in financial reasoning;
understanding the scope of financial operations by mastering innovative approaches, calculating them and optimizing them;
obtaining a critical perspective on the skills acquired during the program via personal reflection on the financial function and the experience accumulated during individual and group tasks.

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