Master - Financial Markets Investment (MSc) - SKEMA Sophia Antipolis
| Niveau d’études visé | Bac +5 |
|---|---|
| Durée de la formation en année | 1 an |
| Statut de l’école | Non renseigné |
| Rythme de formation | Temps plein |
| Modalité | En présentiel |
| Prix | 13000 € |
Description
The programme this year has been remodelled to take into account the “new normal”. The programme educates students in a personalised academic environment for success in a wide
variety of finance jobs. It gives students practical expertise in the key areas of finance within the new post crisis (2008 and today again ) financial environment in the fields of trading, risk management, sales, investment advisory, sustainable finance… Secondly, it teaches these courses within a global macro-economic and financial environment with market-oriented courses that will enable the students to become conscious of a new financial and economic environment including a key component that may remain with them throughout their careers: a stockpile of world debt.
The availability of Reuters and Bloomberg terminals with existing live quotes and up-to-the-minute financial information from different exchanges allows students to follow and better understand the correlation between geopolitics, economics and the financial markets.
The programme’s objective is to prepare students to adjust to an ever-changing volatile economic and financial environment by giving them regular access to experienced financial specialists who strive for a delicate balance between the importance of
strong academic skills and practical market experience.
In company projects and assignments
- Correlation between commodities and equities
- Dividend swaps as a new asset class
- Forward curve as a forecasting tool in the soft commodity market and its Granger casualty test
- Oil and natural gas correlation
- To what extent does Islamic finance banking present a growing stable and safe banking system?
- Leveraged ETF: the real correlation with their index
Career opportunities
Trader, broker, sales analyst, risk manager, controller, investment
advisory...
Thématiques abordées
- Fondamentaux des marchés financiers : produits dérivés, fixed income, instruments financiers
- Trading, ventes et structuration financière : méthodes avancées, pratiques de marché, gestion des risques
- Gestion d’actifs et de portefeuilles : approches quantitatives, évaluation des actifs, stratégies d’investissement
- Analyse financière approfondie et préparation au CFA® : évaluation d’entreprises, modélisation financière
- Finance durable, éthique et conformité : principes ESG, gestion des risques extra-financiers, régulation
Objectifs de la formation
- Acquérir une expertise pratique en trading, gestion de portefeuille, structuration financière et analyse des marchés financiers mondiaux.
- Maîtriser les outils quantitatifs et les plateformes professionnelles comme Bloomberg pour la prise de décision en front-office.
- Développer des compétences avancées en évaluation des actifs financiers, gestion des risques et produits dérivés.
- Préparer efficacement les certifications reconnues (CFA®) pour renforcer l'employabilité dans les métiers de la finance de marché.
- Se préparer à des carrières internationales dans des institutions financières de premier plan (banques d’investissement, gestion d’actifs, hedge funds).
Points forts
- Small, international classes mean students build fruitful inter-cultural relationships with one another and their teachers.
Classes are taught by professors who have both strong academic backgrounds and expert professional experience in finance. This unique combination provides students with: an up-to-the minute insider’s perspective of the changing financial arena, how these changes play out, and how to react in the day-to-day world of work.
- The teaching emphasises a hands-on, problem-solving approach that means graduates can work productively from Day One on the job. Graduates can be sure of future career mobility
because the Financial Markets and Investments MSc strikes the right balance between technical skills and a global perspective.
- The programme is developed constantly to ensure its relevance to shifting global financial markets. Classes are also complemented by various talks given by full time, high-calibre
professionals from public and private institutions in the global capital markets.
- Throughout the year, students develop professional contacts, get access to information from various resources, and learn from each other. Indeed, one of the strongest assets of this programme is the opportunity for cross-cultural interactions and learning. The
highly international make-up of classes will make it possible for students to create a wide network of friends and colleagues.
Découvrir l’établissement
-
Voir l’établissement