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Master in Finance

Master in Finance

EU Business School

Máster presencial

Genève (Suiza) y 2 más


más de 9000€

Duración : 1 Año

New financial paradigms are emerging. With new regulations and a shift in ethical thinking, the ability to understand and decipher the ever-growing complexity of the world of finance is a quality that is more important than ever before. As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. From its foundations to its future of finance, you will gain a balanced understanding of one of the most crucial aspects of business.

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Localización

Fecha inicio

Genève
Enero 2024
Barcelona
Enero 2024
München
Enero 2024

Objetivos

As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. From its foundations to the future of finance, you will gain a balanced understanding of one of the most crucial aspects of business.

Requisitos

Admission Requirements:* 1 certified copy of bachelor's degree and transcripts Proof of English level: TOEFL score 89 (internet-based), 233 (computer-based); IELTS 6.5; CAE C1 with a minimum score of 176; PTE score 59; English native or equivalent Applicants must also meet one of the following: A GPA of 3.0 on a 4.0 scale A satisfactory score on the GMAT or GRE An interview with the academic dean * Students who do not meet the criteria will have an interview with the admission committee and will be considered on a merit basis.

Temario completo de este curso

TERM 1
  • Foundations of Finance
  • Financial Reporting & Statement Analysis
  • Quantitative Methods for Finance
  • Microeconomic Theory, Macro & Monetary Economics
  • Simulated Stock Market Portfolio

TERM 2
  • Advanced Corporate Finance
  • Financial Markets & Institutions
  • Portfolio Management
  • Fixed Income Securities & Credit Markets
  • Bloomberg Financial Lab

TERM 3
  • Risk Management in Financial Markets
  • Corporate Investment & Financial Policy
  • Mergers, Buyouts & Corporate Restructuring
  • Fundamentals of Blockchain Technologies
  • Cryptocurrency Portfolios and Mock Coin Development

Graduation Requirements
  • Business Plan
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