The right approach in the world of Finance
In a highly volatile environment, financial managers and investment professionals have to be able to devise and apply the right policies in relation to investments, financing and wealth planning. Since students need to be prepared for a new economic environment.
Tthe first aim of this Master of Science is to provide them with expert knowledge about corporate finance, investment analysis, valuation and portfolio management, and to emphasize the highest ethical standards and applications for financial modeling.
After completing the curriculum, students will acquire investment management practices through the mastery of tools for financial analysis, asset classes, and portfolio management in order to be prepared for the industry’s top financial positions and passing leading certifications in finance.
Dossier et Entretien