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Master (M2) Financial markets and Risk Evaluation (FiRE)

Informations générales

Niveau de recrutement
Bac + 4
Durée de la formation
1 an
Lieu(x) de formation
Toulouse (campus UT1)
Stages
Oui En savoir plus
Accessible en
Langues d'enseignement
Anglais
Et après ?
Présentation
The Master “Financial Markets and Risk Evaluation” (FiRE) offers theoretical and practical insights on financial markets.

Theoretical insights are all the more needed after the great financial crisis of 2008 that has shown that blind applications of valuation and risk management models could prove unproductive. These theoretical insights are acquired by students with the instruction offered by world-class academics who have contributed to build them. Practical insights are also offered to ensure that students are accustomed to the functioning and vocabulary of financial markets, the strategies of investors and the pricing of financial assets, with a particular emphasis on risk measurement and evaluation.

Objectifs

By the end of the Master in Finance, students will be able to:

  • Know basic institutional and regulatory framework of finance in organisations and markets ;
  • Understand the conceptual foundations and analytical methods in finance ;
  • Apply analytical methods in finance to solve practical problem encountered by corporations, financial institutions and markets ;
  • Critically assess the drivers of contemporary financial issues ;
  • Incorporate ethical dimension and implications for sustainability in financial decisions 
  • Communicate effectively in oral and written form ;
  • Work in team ;
  • Solve complex problems
Students pursuing the track Financial Markets and Risk Evaluation will also learn to:
  • Use modeling and computational tools to price financial assets ;
  • Understand the functioning of financial markets ;
  • Identify and manage operational and financial risks.

Partenariats

Partenariats entreprises

 

Admission

Publics

Niveau de recrutement : Bac + 4


Conditions d'accès

Candidats externes à TSM
→ titulaire de 240 ECTS
→ titulaire d’une certification en langue anglaise *
→ étude du dossier de candidature et éventuellement entretien

Candidats internes issus d’un M1 mention Gestion de TSM
→ titulaire de 240 ECTS
→ titulaire d’une certification en langue anglaise *
→ étude du dossier de candidature et éventuellement entretien
→ démarche d’orientation active

* niveau requis : C1

admission

Pour plus d'information sur nos programmes et télécharger le dossier de candidature : www.tsm-education.fr

Programme

Tous les cours sont dispensés en anglais / The programme is taught entirely in English. 

SEMESTER 1:
UE 01 - Asset pricing
UE 02 - Corporate finance
UE 03 - Information technology for finance II
UE 04 - Financial econometrics
UE 05 - Economics for finance
UE 06 - Asset management and trading
UE 07 - Derivatives
UE 08 - Risk management
UE 09 - Psychology for finance
UE 10 - Financial computing

SEMESTER 2:
UE 11 - Internship or Research Dissertation

Orientation
Année post-bac de sortie
Bac + 5

Débouchés professionnels

Career oppotunities: Risk analysis, Brokerage, Asset management, Trading, Middle Office, design of structured products, private equity, consulting.
Preferred sectors: Corporate and Investment banks, Investment Companies, Insurance Companies, Brokerage Houses, Investment Consulting Firms…

Contacts

Renseignements


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