master quantitative models and methods used in finance;
develop complex financial strategies to guide decision-making in a context of uncertainty;
obtain relevant research training in doctoral studies.
M.Sc. finances trains portfolio managers, financial analysts, risk managers and high-level corporate finance specialists. It also prepares for PRM, CAIA and CFA designations.
Details and Extracurriculars
Portfolio management and capital markets
Derivatives
Financial theory
Principles and economy of insurance
Bond markets
Financial econometrics
Mergers, acquisitions and restructurings activities