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Master in Finance

Master in Finance

The Master in Finance (60 ECTS) is a one-year, three-term, full-time degree with start dates in October, January and March.

The Master in Finance program is designed to prepare students for a specialized area of business while providing a balanced understanding of fundamental concepts. Students will complete twelve courses in key finance areas such as corporate investment and financial policy and cryptocurrency portfolios and mock coin development, as well as three seminars that will hone management skills. In order to graduate, participants must also complete a business plan and a final project (6 ECTS).

Term 1

(13 CH  | 18 ECTS)

  • Foundations of Finance 3 | 4
  • Financial Reporting & Statement Analysis 3 | 4
  • Quantitative Methods for Finance 3 | 4
  • Microeconomic Theory, Macro & Monetary Economics 3 | 4
  • Simulation: Stock Market Portfolio 1 | 2

Term 2

(13 CH  | 18 ECTS)

  • Advanced Corporate Finance 3 | 4
  • Financial Markets & Institutions 3 | 4
  • Portfolio Management 3 | 4
  • Fixed Income Securities & Credit Markets 3 | 4
  • Bloomberg Financial Lab 1 | 2

Term 3

(13 CH  | 18 ECTS)

  • Risk Management in Financial Markets 3 | 4
  • Corporate Investment & Financial Policy 3 | 4
  • Mergers, Buyouts & Corporate Restructuring 3 | 4
  • Fundamentals of Blockchain Technologies 3 | 4
  • Cryptocurrency Portfolios and Mock Coin Development 1 | 2

Graduation Requirements

Students will also be required to submit a business plan (6 ECTS) at the end of their studies and to attend field trips, company visits and fairs as part of the experiential learning method.

Learning Outcomes

The aim of the Master in Finance is to ensure that students are able to effectively engage in an increasingly globalized, diverse and multifaceted world, having acquired the required skills. At the end of the program, graduates will be able to confidently:





Apply and critically evaluate corporate finance techniques using sound analytics.

Blend sophisticated modeling techniques with a global perspective in the management of corporate risk.

Critically evaluate emerging technologies, stock, bonds and derivatives using cutting-edge valuation methods with particular reference to the operation of financial markets.

Understand and exercise critical judgement in solving problems encountered by a multinational business.

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