Master in Financial Markets and Asset Management (on-line)
This Master program has multiple objectives. On the one hand, has as its fundamental objective to deepen those aspects that are essential for understanding the stock market in particular and financial markets in general. On the other hand, the Master program is useful both for those without experience who want to enter the exciting world of Financial Markets to those professionals who want to achieve more robust from a technical standpoint.
Objectives and Methodology
The Master program is designed to maximize the wizard using the most advanced tools that allow companies to assess, calculate the price of a bond pricing options for different models, build a system to manage different types of assets, graph through a different excel sheet strategies market using options and futures, etc ... Finally, the Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management simulations in real time.
In short, the primary objective of the Master Program is to enable all those who until now, because of geographical displacement, had been unable to complete a Masters program quality in the field of finance, have the opportunity to receive training using the same technological tools and offers the same quality of training received by students in the pres Master Programs ential usually provided by the Institute.
The most innovative aspect of the Master On-line is the methodology used: first the students will have an academic tutor in all modules, whose responsibility will be to track each Master Program students, raise practical cases, resolve any questions that they pose to students through on-line tutorials, etc ... Students will also have a very detailed study documentation, as well as numerous spreadsheet files to be hosted on the virtual platform for students to work with them from where they are studying the Master Program.
Finally, when the initial modules of the Master On-line have already been completed, students will develop portfolio management simulations through the Internet both in the spot market to market of derivatives (options and futures) . These portfolios will be supervised by professional managers, who assist students in making investment and divestment decisions.
- MODULE 1. FINANCIAL SYSTEMS UNDER EMU
- MODULE 2. MATHEMATICAL AND STATISTICAL BASES
- MODULE 3. TECHNICAL ANALYSIS
- MODULE 4. FUNDAMENTAL ANALYSIS AND ASSESSMENT OF COMPANIES
- MODULE 5. MACROECONOMIC ANALYSIS
- MODULE 6. RISK MANAGEMENT AND CONTROL OF PORTFOLIOS
- MODULE 7. BASICS OF DERIVATIVES
- MODULE 8. EQUITY MARKET
- MODULE 9. BOND MARKET
- MODULE 10. FOREIGN EXCHANGE MARKET
- MODULE 11. COLLECTIVE INVESTMENT INSTITUTIONS
- MODULE 12. PRIVATE BANKING
The program is aimed at graduates, final investors, portfolio managers, professionals wishing to acquire more knowledge in the field of Financial Markets, All those interested in the stock market in particular and the financial markets in general.
All those interested in pursuing the Master should be sent to the headquarters of the IEB (C / Alfonso XI, n º 6 - 28014 Madrid) the following documents:
- Curriculum Vitae
- Two letters of recommendation
Subsequently, each candidate must have a personal interview with the Admissions Committee.
Program taught in: