Master of Science in Capital Markets
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The EDHEC Business School Master of Science programmes are one-year full-time programmes taught in English. Each programme is worth 90 ECTS credits.
Students in EDHEC's MSc in Risk and Asset Management must successfully complete the following:
Financial Modelling
Econometric modelling for financial markets, time series forecasting techniques, statistical analysis and VBA/Excel and Matlab programming
Fixed Income Analysis and Credit Risk
Coverage of the state-of-the-art techniques used to price fixed income securities and manage bond portfolios, credit pricing theory and credit derivatives
Options and Futures and other Derivatives
Advanced mathematical modelling for pricing options and other derivatives, OTC and exchange traded products, pricing exotic derivatives
Trading the Capital Markets
Introduction to the practice of trading and market making by combining an analytical approach of market dynamics with practical implementation in the real-life environment of the EDHEC Fininfo trading room.
Market Risk Analysis
In-depth study of risk management for asset and liability management companies, corporation and banks, advanced risk measurement and forecasting.
Ethics & Entrepreneurship
CFA Ethics course (7.5 hours) and an overview of entreprenership, strategy, venture capital and creating a business plan (7.5 hours)
Research Methodologies
Preparation of research programmes, thesis development, empirical approaches to finance and recommended reporting practice.
Excel and VBA
Broad ranging coverage of VBA / EXCEL for financial analysis and rapid application development (RAD).
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