The Master+ Program in Banking and Finance is a one-year master-level program that combines a standard Master program with specific training delivered by a research center dedicated to banking studies. Students study Banking; Investment strategy and portfolio management; Econometrics; and Risk management, and they complete a Dissertation with research methodology, plus communication and exposure.
Teaching is provided by active scholars in banking or by financial risk practitioners. The program also hosts international visiting professors who are leading experts in their field. The course includes 205 hours of instruction and is fully taught in English. Admission requires satisfactory evidence of adequate knowledge and understanding of written and spoken English, along with an application package.
Modules
- Module 1 : Banking
- Financial economics
- Bank risk and regulation
- Bank structure and competition
- Module 2 : Investment strategy and portfolio management
- Portfolio management
- Derivatives
- Quantitative finance
- Module 3 : Econometrics
- Econometrics of banking and finance 1
- Econometrics of banking and finance 2
- Module 4 : Risk management