The MSc in Finance is a one year full-time official programme of the highest quality run (among the best 36 masters in financial markets in the world according to ranking by best-masters.com).
Our graduates develop their careers in investment banking, financial boutiques, private equity and financial departments in non-financial entities. Students are allowed to do internships after the third term for a maximum of 9-months. In the past editions students found employment in top companies as: Moodys, Deutsche Bank, BNP Paribas, CNMV, KPMG, Deloitte, BBVA, Santander Bank, Credit Suisse, Sabadell Bank, Repsol, Endesa, JP Morgan, Goldman Sachs, UBS, among others.
The programme has exchange agreements with top universities in Europe (Tilburg University, Humboldt Universitat and Maastricht University) and America (The City University of New York or EAFIT) enabling study abroad for some additional courses.
CAIA and GARP Academic Parter. The program covers specific contents aligned with CAIA and FRM certification exams.
Bachelor’s degree. Foreign applicants must possess an equivalent degree (three or more years of university studies) from an official university. Students in the last year of their Bachelor’s studies may also apply for admission; their application will be considered upon confirmation that they have successfully completed their Bachelor’s programme.
Course 1
Financial Statistics
Financial Markets
Fixed Income
Electives (6 ECTS) *
Financial Accounting
Macroeconomics
Computer Science for Finance
Financial Statement Analysis
Investment
Derivatives
Econometrics for Finance
Corporate Finance
Risk Management
Electives ( 9 ECTS)
Advanced Derivatives
Risk Management - Central Banks
International Finance
Advanced Portfolio Management
Electives:
Corporate Governance and Social Corporate Responsibility
Energy Markets and Commodities
Advanced Financial Statistics
Advanced Corporate Finance
Advanced Risk Management
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