Instituto de Empresa Business School

Master in Finance

Master list

The Master in Finance focuses on finance as a tool to pursue a career in this highly dynamic sector. The Master in Finance equips participants with up-to-the minute knowledge in key areas of finance such as leveraged buy-outs, credit derivatives 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, 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 community.

  • First PeriodSept-Jan
  • Second PeriodJan-Apr
  • Third PeriodApr-Jul

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First Period

  • Courses
  • Orientation Workshop
  • Financial Modeling
  • Financial Mathematics
  • Introduction to Capital Markets
  • Derivatives & Risk Control
  • Corporate Finance
  • Economics for Markets
  • Strategic Macro Economics for Investors
  • Financial Accounting and Analysis
  • Communication Skills within Financial Market
  • Quantitative Finance I

This period is an induction to finance module, where you will apprehend the key concepts of finance, financial markets, investment banking, financial analysis and world economy. Its comprehension is key to understand the courses comprised in the second and third periods.

Second Period

  • Courses
  • Negotiation
  • Valuation
  • Mergers & Acquisitions
  • Brazil, Russia, India, China (BIRC)
  • Private Equity & Leverage Buyouts
  • Advanced Topics in World Economy
  • Auditing
  • Financial Entrepreneurship
  • Equity Derivatives & Volality
  • Equity Research
  • Portfolio Management
  • Credit Analysis
  • Commodities Markets
  • Fixed Income Credit & Hybrid Markets
  • Quantitative Finance II
  • Behavioural Finance
  • Historical Episodes in the Financial Markets
  • CFA Preparation

Following a first period in which you follow courses in general finance, on the second period you will focus your studies in areas as private equity, M&A, and equity derivatives.

Third Period

  • Courses
  • Macroeconomics & Asset Allocation
  • Fixed Income Derivatives
  • Securization
  • Making Money in Financial Markets
  • Hedge Funds
  • Banking & Insurance
  • Creating Value through Corporate Change
  • Multinational finance, fx market & fx derivatives
  • Management Control
  • Derivatives
  • Creative Accounting
  • Islamic Finance
  • CFA Preparation
  • CFA Practice exam

On the last period, you will learn about more recent developments in the field, including emerging markets, current economic issues or hedge funds.

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IE Business School

IE · Marķa de Molina, 11 · 28006 Madrid, Spain · Tel. +34 91 568 96 00 · info@ie.edu · Legal advice

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