Master in Financial Markets and Risk Management

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GOALS

The Master trains specialists in financial markets exercising their skills at service of banks and investment firms, management companiesassets consulting firms, insurance companies or large companies. It trains students in all trades related toinvestments in financial instrument markets and financingrelying on market techniques.
It is designed to providestudents of in-depth knowledge, both theoretical,quantitative and operational, on all products traded on thesemarkets. The heart of the program is centered on valuation techniquesand negotiation as well as on investment strategies,arbitrage, and hedging and risk management. The lessonscover all products: equities, interest rate instruments, foreign exchange, materialsfirsts…, with a specific focus on derivatives markets.

CREDITS

120 Credits
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