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Master's Degree in Economics and Finance: Finance Program

Master's Degree in Economics and Finance: Finance Program

Barcelona Graduate School of Economics

Máster presencial

Barcelona


Precio a consultar

Duración : 9 Meses

The Master in Finance is a comprehensive program that covers all the important areas of finance and prepares you for the most demanding jobs in banking, consulting and asset management.

This program is unique because it offers better training on quantitative topics than most masters in finance, and has a broader focus than the typical master in quantitative finance.

Our graduates excel in the ability to design and implement complex financial models; understand the theory and bring it to the data. They outclass their peers with a more qualitative background (like an MBA), because they can work in a wider range of positions (risk management, derivatives trading, venture capital, wealth management, etc.). At the same time, our graduates are more versatile than students with a pure quantitative background, because they can reach beyond purely technical jobs.

We believe that your time is valuable. We focus on the “hard” topics of finance because these require formal academic training and are difficult to learn on the job.

The program offers interactive classes, intensive use of advanced statistical and mathematical software, in-depth case studies, presentations by finance professionals, and the support of an experienced team of career services officers.

This program requires that all entering students be able to show a solid academic background in mathematics and statistics. Proof will be required showing an undergraduate degree with a substantial number of quantitative subjects, or GRE to demonstrate quantitative ability, however the GRE is not mandatory for this program.

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Localización

Fecha inicio

Barcelona

Temario completo de este curso

Fall Term (September - December)

Econometrics

Asset Pricing

Corporate Finance Theory

Winter Term (January - March)

Financial Econometrics

Pricing Financial Derivatives

Stochastic Models and Optimization

Money and Exchange Rates *

Systemic Risk and Financial Crises

Macroeconomics II

Asset Prices and Investment Strategies

Market Liquidity and High-Frequency Trading

* Course offered by other Barcelona GSE master's programs. Admission subject to approval by program directors.

Spring Term (April - June)

Master Project

Banking Theory

Applied Corporate Finance

Derivatives and Risk Management

Empirical Corporate Finance

Empirical Asset Pricing and Banking

Sovereign Debt and International Financial Markets

Students must complete a total of 60 credits.

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