Master 2 Master+ in Banking and Finance
Objectifs pédagogiques
The Master+ Program in Banking and Finance is a unique opportunity to follow a standard Master program combined with a specific training delivered by a well-established research center dedicated to banking studies.
Teaching staff are active scholars in Banking or financial risk practitioners. The program also hosts international visiting professors who are leading experts in their field.
The Master is a one-year program fully taught in English. Applicants must provide satisfactory evidence that they have an adequate knowledge and understanding of written and spoken English.
Organisation des études
more details avalable : https://www.unilim.fr/lape/master-and-phd-programs/master-in-banking-and-finance/
Poursuite des études
Débouchés professionnels
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Programme de la formation
- Financial economics
- Bank risk and regulation
- Bank structure and competition
- Portfolio management
- Derivatives
- Quantitative finance
- Econometrics of banking and finance 1
- Econometrics of banking and finance 2
- Banking and credit risk
- Banking and market risk
- Dissertation
- Research methodology
- Communication and exposure
Public
How to Apply &Application PackageCandidates should submit the following:1)E-CandidateApplication Form:https://ecandidat-2023.unilim.fr/2)Valid ID Card or Passport3)Detailed CV4)Support letter(s)5)Transcript of records6)English Certificate(s) (TOEFL, IELTS, etc.)Important ReminderApplicantsfromacountryusingtheCEFprocedure(http://www.campusfrance.org/en/page/a-country-using-cef-procedure)need toapplyonly throughtheCEFatthe FrenchEmbassy (Campus France office) by mentioning thatthis is a totally English-taught program (French test not required)
Volume horaire
Non concerné
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Dates de dépôt d’un dossier de candidature :