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Program Structure

The program starts at the beginning of September and lasts two years. Each of the two academic years is divided into two semesters, and each semester is divided into two modules. Each module involves six weeks of teaching, with exams taking place at the end of each module. 

MSc Finance and Banking General Program Structure

FIRST YEAR OF STUDIES

I SEMESTER

I MODULE

Statistics pre-course
Mathematics
Statistics

II MODULE

Derivatives
Coding and Data Analysis for Finance

II SEMESTER

I MODULE

Times Series and Econometrics 
Corporate Finance
Elective course (first or second module)

II MODULE

Financial Market Models
Financial Econometrics

SECOND YEAR OF STUDIES

III SEMESTER

I MODULE

Asset Pricing
Securities Regulation and Responsible Investments
Elective Course (first or second module)

II MODULE

Asset Management
Empirical Banking

IV SEMESTER

I MODULE

Elective Course (first or second module)

II MODULE

Preparation of Master’s Thesis