

This Specialized Master (MS) imparts the knowledge in Finance and quantitative finance required to understand a complex and globalized financial environment that is fast changing.
It provides the scientific skills required to succeed in careers in asset management, financial risk specialists and financial engineers.
The financial crisis and the current instability of the international financial system have led us to study in greater depth banking and market risks, the management of which is undergoing radical change resulting in new functions throughout the financial sector.
Students master the quantitative methods and are trained to develop a wide-ranging qualitative analysis of asset management and financial risk assessment.
The knowledge gained on both the international capital markets and derivatives as well as the specific risks involved in each, the students will have a very good level of asset and project finance and can foresee careers in interest rate, foreign exchange and commodity trading.
The highly qualified members of faculty, each teaching in their own field of expertise and research, and their high level of commitment, will be of considerable benefit to students and allow them to progress and discuss the classes as well as their professional thesis.
A study trip to London completes the training with lectures on private equity, Metal Stock Exchange, fund management and taxation. The students are also prepared for AMF certification.
(after study and acceptance of the candidates’ file online)
Tel. : +33 (0)1 73 06 98 00
Tél. : 33 (0)2 32 82 47 05