Duration: 2 years
Language of instruction: English
Advantages:
Master’s degree programme in Finance positions students well to obtain the Chartered Financial Analyst® (CFA) designation, the most respected and recognized investment credential globally. Additionally, the programme integrates the content of the certified GARP Financial Risk Manager (FRM®) programme.
The FRM certification is awarded to professionals who demonstrate the knowledge and ability to anticipate, react, and adapt to the challenges in risk management. The curriculum combines rigorous academic content with current industry practices, preparing graduates to become highly demanded professionals in their field.
Learning outcomes:
— Required courses —
| Course Title | ECTS |
|---|---|
| Foreign Language (Professional) | 4 |
| Management Psychology | 4 |
| History and Philosophy of Science | 2 |
| Higher School Pedagogy | 2 |
| Research Methods I | 5 |
| Financial Econometrics I | 5 |
| Financial Econometrics II | 5 |
| Financial Risk Management | 5 |
| Teaching Practice | 5 |
| Research Practice | 5 |
| Scientific Research Project | 24 |
| Dissertation Defense | 12 |
| Total | 78 |
— Elective courses —
| Course Title | ECTS |
|---|---|
| Advanced Corporate Finance | 5 |
| Valuation | 5 |
| Securities and Derivatives | 5 |
| Operational Risk Management | 5 |
| Credit Risk Management | 5 |
| Investment Management | 5 |
| Portfolio Management | 5 |
| Fixed Income Securities | 5 |
| Financial Statement Analysis | 5 |
| Professional Ethics | 5 |
| Advanced Topics in Finance | 5 |
| Refinitiv Workspace Certification | 2 |