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Master in Finance

Course Description

The Master in Finance equips participants with up-to-the minute knowledge in key areas of finance such as financial modelling, Islamic finance, credit derivatives, financial crisis or mergers and acquisitions. The program will play a pivotal role in increasing candidate appeal in recruitment processes for leading financial institutions, such as investment banks, commercial banks, private equity or asset management. This is a program centred around finance, in line with the demand of the recruiting market in the financial arena. Further areas covered include macroeconomics, financial accounting, financial entrepreneurship, presentation skills and negotiation. In addition to finance courses, students will be required to undertake level I of the CFA Charter, a highly respected international degree within the finance sector.
Up-to-the-minute courses content in the most innovative fields of finance, such as M&A, private equity, hedge funds or portfolio management
An eminently practical approach: students are required to make virtual investments with a portfolio using Internet based simulators or to seek real investment opportunities for a leveraged buy-out and present these to private equity investors
A sizeable percentage of the faculty are practitioners working in Tier I investment banks & other top finance sectors
First in-class program on derivatives markets for different asset classes (equity derivatives, fixed income derivatives, commodity's derivatives and foreign exchange derivatives)
Detailed analysis of the operations and activities of financial markets
Alumni network comprising 3,500 graduates of IE finance programs since 1977, supported by on-site finance oriented networking (Finance Club & Financial Community)

Entry Requirements

Bachelor degree, GMAT / IE Admissions Test, English certificate (where applicable)

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Recipient: IE University

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