The Master of Science in Investment Banking & Capital Markets is a one year program completely taught in English designed to take your knowledge of capital markets to a higher level.
In a fast-moving global financial environment, this program further explores the most recent developments in capital markets regulation and compliance. Our students graduate with a set of quantitative tools and with a solid knowledge of the regulations and ethics in investment banking and capital markets.
The program is specifically targeted towards recent graduates in finance or business administration willing to develop their technical skills and knowledge in finance further.
In collaboration with:
The program develops expertise in investment management, and in the functioning and regulation of equity and debt capital markets. Interactive lessons in the Bloomberg Financial Markets Lab connect our students with the reality of the finance industry. These are the necessary ingredients of a successful career as capital markets securities analyst, investment manager, quantitative analyst, risk manager, financial adviser, or compliance officer at financial institutions, investment banks, consulting firms or supervisory authorities operating globally, such as:
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