The Asset Management MBA provides trader, currency trader and market trader training in asset management (equities, bonds, derivatives, currencies) and risk management.
Graduates of this MBA will be able to select financial products based on their profile (risk-return), analyze asset performance, and propose appropriate investment strategies. This MBA provides a perfect understanding and mastery of arbitrage, speculation and risk hedging on the stock markets.
Future graduates will hold financial positions in banks, trading rooms, stock exchanges and insurance companies. This MAB allows the training of the Risk Manager.
The MBA Asset Management is spread over two years for students with a degree or equivalent degree, or a BBA. On the other hand, the holders of a master M1, graduated from the engineering schools access the M2.
Access to this MBA is restricted to candidates who:
Outlets:
LGraduates of this Professional Master in Asset Management will carry out several activities such as: