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Find the path that is right for you ! The majors directory is designed to help you explore all of EGE's universities partners diverse undergraduate, master degree options. We hope that you use this directory to learn about EGE's universities partners offerings, connect with departments and programs, and select a course of study that best fits your interests and goals. 

Skema - MSc Financial Markets & Investments

FOCUS
  • Program: MSc Financial Markets & Investments

  • Type of Program: Postgraduate programmes

  • Years of study: 1 or 2 years

  • Teaching language: 100% in English

  • Location of Campus: Paris, Sophia-Antipolis (France), Raleigh (USA)


ADMISSIONS

Entry requirements:

  • Review of your academic files : Yes

  • Selection/Admission Interview: Yes

  • Lingusitic Test : Yes

  • Entry-Exam (Concours): No

Official admission links : Click here

FINANCING
  • Tuition fees: from 21 500€ (*)

  • Application fees: Yes (*)

  • Scholarships: More infos

  • Other Financial Aids : Crous.

(*) it may be changed according to your profile & study project. Contact us for more information !

APPLICATION ONLINE

PROGRAM STRUCTURE

PARIS COURSES


SEMESTER 1 Macro picture

  • Macro-Economics, Global

  • How Financial Markets Work​

  • Bloomberg Data Analysis

  • Country Risk

Financial Assets

  • Fixed Income

  • Equity Valuation & Financial Analysis

  • Derivatives

Tools

  • Introduction to Stochastic Calculus

  • Financial Econometrics (with R)

  • VBA

  • Applied VBA (Asset pricer project)

  • Other technical tool 'Excel modelling)

  • Extra conferences on tools or hot topics in finance delivered by esteemed faculty and external practitioners

  • Professional & Personal Development

SEMESTER 2 Financial Markets Advanced Methods

  • Portfolio Management

  • Simulation Game: Portfolio allocation contest (on Bloomberg) 

  • Fixed Income Management

  • Credit Risk Exposure CVA

  • Financing/Investment Strategy (ECM & DCM)

  • My SQL Programming

Management Tools

  • Ethics and Compliance in Financial Markets

  • Employability and Career


THE TRACKS: Free choice of tracks (depending on available places) :


Track - Asset Management

  • Applied Financial Econometrics

  • Private Banking

  • Alternative Investments

  • Advanced Derivatives & Structured Products

  • Applied Technical Analysis

  • Investment Fund France

  • ETF Investment

  • Blockchain & Fintech

Track - Investment Banking

  • Investment Valuation, LBO & Private Equity

  • M&A and Restructuring

  • ALM & Strategic Asset Valuation

  • Banking Risk Management & Behavioural Finance

  • Deal & Negotiation Skills

  • Sales Methods

  • Due Diligence & Investment Frame

  • Basel Regulation


Spotlights 

  • Portfolio allocation game on Bloomberg

  • Brokerage simulation game

  • A Dealing Room visit at La Défense in Paris

Total credits = 30 (semester 1), 30 (semester 2), 30 dissertation = 90

SOPHIA ANTIPOLIS COURSES


SEMESTER 1 Macro picture

  • Macro-Economics, Global

  • How Financial Markets Work​

  • Bloomberg Data Analysis

  • Country Risk

Financial Assets

  • Fixed Income

  • Equity Valuation & Financial Analysis

  • Derivatives

Tools

  • Introduction to Stochastic Calculus

  • Financial Econometrics (with R)

  • VBA

  • Applied VBA (Asset pricer project)

  • Other technical tool (Excel modelling)

  • Finance Research & Modelling with R

  • Extra conferences on tools or hot topics in finance delivered by esteemed faculty and external practitioners

  • Employability and Career

SEMESTER 2 Financial Markets Advanced Methods

  • Portfolio Management

  • Simulation Game: Portfolio allocation contest (on Bloomberg) 

  • Fixed Income Management

  • Credit Risk Exposure CVA

  • Financing/Investment Strategy (ECM & DCM)

  • My SQL Programming

Management Tools

  • Ethics and Compliance in Financial Markets

  • Employability and Career


TRACK : Trading, Structuring & Portfolio Management (choose eight)

  • Equity & FX Structured Products

  • Technical Analysis

  • Exotic Options

  • Quantitative Portfolio Management

  • Advanced Commodities

  • Fixed Income Structured Products

  • Option Book Management

  • Quantitative Modeling of the Value at Risk

  • Credit Default Swaps (CDS): Use, Pricing and Hedging

  • Fintech: a new tool?

  • ETF Pricing and Trading


Spotlights

  • Portfolio allocation game on Bloomberg

  • Brokerage simulation game

Total credits = 30 (semester 1), 30 semester 2), 30 dissertation = 90


RALEIGH COURSES

 

Autumn core classes

Macro-Picture

  • ​Financial Econometrics with R

  • Cross-cultural competences I, II or III (US regional overview, historical overview or other) Course with NCSU (North Carolina University)

Financial Assets

  • Asset Valuation & Financial Analysis

  • Derivative Instruments

Tools

  • Advanced Financial Mathematics

  • VBA Programming

  • Applied Derivatives and Market Analysis

  • CFA® Level 1 electives for track student

  • Professional & Personal Development

   Spring core classes

Financial Markets Advanced Methods

  • Portfolio Management

  • Portfolio Management Simulation

  • Credit Risk Management

  • Fixed Income

  • Programming in R/Python

  • Structured Products

Management Tools

  • Ethics and Compliance in Financial Markets

  • Cross Cultural Competencies - US focus

 TRACK : Quantitative Portfolio Management and Valuation    Full semester, each course is 39 hrs

  • Swaps, Options & Financial Strategies.

  • Equity, Fixed Income and Derivatives Trading Strategies

  • Collateralised Debt Obligations

  • Credit Default Swaps

  • Mortgage-backed Security

  • Greeks and Dynamic Investment Strategies

  • Bloomberg-powered Technical Analysis

  • Stochastic and Deterministic-based Models

  • Fixed Income Structured Products


   TRACK : CFA®

  • Portfolio Management and Alternative Investment

  • Economics and Quantitative Methods

  • Equity Valuation and Corporate Finance

  • Fixed Income and Derivatives

  • Financial Reporting and Analysis

  • Ethical and Professional Standards

Spotlights

  • Portfolio allocation game on Bloomberg

  • Course exchange opportunities with NC State University Quantitative Finance Department

  • Visits to important market finance firms or banks in the US

  • OPT visa optimising professional insertion in the US (see below)

Total credits = 30 (semester 1), 30 semester 2), 30 dissertation = 90 ​


Find your courses by tags

#skema #skema_business_school #msc #master_of_science #postgraduate_programs #taught_in_english #paris #sophia_antipolis #france #raleigh #USA #financial_markets #investments #asset_management #investment_banking #trading #trading_management #structuring_management #portfolio_management #portfolio #quantitative_portfolio_management #valuation #CFA #ege #euroasia_global_education #ege_vietnam #study_in_france



Remarks : Please note that all informations on this page is only approximative informations, it may be changed at any moment according the policies of school. All official informations are communicated on the website of school or contact us rh@ege-france.com for more details.

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