- The MSc Financial Markets and Technologies provides key insights into risk management and gives students in-depth expertise on the main concepts, theories and practices in finance related to equity, bonds, currencies, derivatives and other alternative investments.
- The program guides students in their preparation for the internationally recognized Financial Risk Manager® professional certification, backed by the world’s largest association in finance: Global Association of Risk Professionals (GARP).
- The objective of the program is to prepare students for a challenging and rewarding career in financial markets, to have them learn the art of managing risks using technological tools and master the science of measuring risks.
- There are two core components in the curriculum. The first one is cutting-edge training in financial risk management. The program prepares students to earn the Financial Risk Management (FRM) certificate.
- The MSc Financial Markets and Technologies program not only awards a master’s degree but also provides the opportunity to acquire an extra competitive edge through FRM certification.
- The skills acquired will allow students to be operational from the very start of their careers, enabling them to make relevant, educated recommendations in order to communicate with investors.
- Graduates can expect to kick-start or boost their careers in prestigious banking and corporate institutions across the world.