The Master in Advanced Finance affords up-to-the minute knowledge in the most innovative areas of finance such as securization, swaps, commodities, equity derivatives, leveraged buy-outs, geopolitics, behavioural finance or value at risk or Islamic finance. Participants receive an education that can play a pivotal role in increasing candidate appeal in recruitment process for tier I financial institutions like investment banks, hedge funds and private equity firms.
- First PeriodJan- Apr
- Second PeriodMay- Jul
- Third PeriodSept- Dec
1st Period
- Courses
- Orientation Workshop
- Negotiation
- Advanced Financial Modeling
- Advanced Financial Mathematics
- Corporate Finance
- Mergers & Acquisitions
- Derivatives Valuation & Risk Management
- Brazil, Russia, India, China (BRIC)
- Advanced Topics in World Economy
- Portfolio Management
- Financial Accounting & Analysis
2nd Period
- Courses
- Securization
- Fixed Income and Hybrid Products
- Macroeconomics and Asset Allocation
- Fixed Income Derivatives
- Making Money in Financial Markets
- Hedge Funds
- Private Equity & Leverage Buy-Outs
- Banking and Insurance
- Creating Value Through Corporate Change
- Multinational Finance, Fx Market & Derivatives
- Entrepreneurship Through Acquisition & Private Equity
- Advanced Corporate Finance
- Derivatives Accounting
- Commodities Market
- Creative Accounting
3rd Period
- Courses
- Strategic Macro Economics for Investors
- Geopolitics
- Behavioral Finance
- Value at Risk
- Historical Episodes in the Financial Markets
- Private Banking
- Islamic Finance
- Real State Investment
- Project Finance
- Issuance of Securities
- Fixed Income Structured Products
- Microcredits & Social Responsible Investments
- Exotic Options & Weather Derivatives
- Institutions of International Financial Stability
- Presentation Skills in Financial Markets
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