Send to a friendPrintClose10 months / Full-time / In English / Presential Format / September Intake
The main advantage of the Master in Finance is its focus on todays most advanced areas of finance such as leveraged buyouts, credit derivatives or mergers and acquisitions. This is a program centred around finance, in line with the demands of the recruiting market in the financial arena. Additionally, students will be required to undertake the level I of CFA qualification, a globally recognised international degree within the finance community.
Why the Master in Finance?
- The most appealing syllabus designed by investment bankers based on the needs of the financial recruiters
- Faculty with a sizeable percentage of practitioners
- Access to employment in capital markets: strong foundations on derivatives, mergers & acquisitions, private equity, asset management & financial statement analysis
- Strong 3,500 alumni network from IE´s finance programs since 1977, supported by on-site finance oriented networking (Finance Club & Financial Community)
- An eminent practical approach: private equity valuation project, equity research report project, company valuation project
Who should apply?
- Designed for outstanding students who have just completed their undergraduate studies, with limited or no professional experiences, and who wish to pursue a career in investment banking (corporate finance, equities, fixed income, derivatives, etc.), hedge funds, private equity, private banking, asset management, or in the finance area of a large corporation. Target candidates will be undergraduate degree students in their final year with an outstanding academic record, and who want to invest a year in a master program comprised mainly of finance courses in order to map a career path in the field of finance as analysts.
Aimed at
People who work or are planning to work in:
| * Corporate Finance | * Hedge Funds |
| * Venture capital and private equity | * Equities |
| * Fixed income | * Derivatives |
| * Asset management | * Private Banking |
| * Financial consulting | * Auditing |
| * Public Finance | * Finance departments of large corporations |
The Master in Finance includes a relevant number of sessions dedicated exclusively to the preparation of the CFA® examination. The CFA® certificate has become a basic requirement for individuals who work as investment analysts, portfolio managers and other investment decision-makers employed by investment firms, banks, brokers/ dealers, and other finance agencies. A minimum level of CFA®I will be mandatory for all graduates of the Master in Finance and optional for graduates on the Master in Advanced Finance.
Madrid
- Relevance of Spanish Banks in the world:
- Madrid is the decision-making centre for two of the world´s 30 leading banks and is a key gateway to Latin America
- Banks located in Madrid have demonstrated their leadership in terms of cost-to-income and shown their strength in international markets
- Madrid is the 2nd Fixed Income Market in Europe with a CAGR of 13% during the period of 2003-2007
- Strong growth in stock exchange trading activity and business financial operations. Internationally relevant centre in securitization, covered bonds, market and financing structures.
- Potential growth for the insurance market Significant increase in financial assets mainly due to growth in credit Madrid has a long and rich history, and bears the influence of many cultures.
- Today, Madrid is a hub for European and global business with links across the globe. Vibrant, and lively, Madrid offers a wealth of culture to be discovered, as well as an opportunity for personal growth.
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