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Master (M2) Financial Markets and Risk Evaluation - double diplôme HEC Liège

Double diplôme international Master (M2) Financial Markets and Risk Evaluation - double diplôme HEC Liège
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Détails

Infos générales

Lieu(x) de la formation
International
Stage(s)
Oui
Accessible en
  • Formation initiale
  • Reprise d'étude

Stage

Stage obligatoire

International

*
* Anglais

Présentation

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Code RNCP : 35913

The double degree « Financial markets and Risk Evaluation » (DU - FiRE) is a degree of excellence that gives a double competence in market finance and banking. It aims at training financial professionals as financial analysts, fund and asset managers, consultants and financial market professionals.

It gives access to the Master of Banking and Asset Management of HEC Management School - University of Liège (ULiège) in Belgium - and the corresponding degree, in addition to the Master Financial Markets and Risk Evaluation of TSM.

Students who enrol in this programme spend the first two semesters at TSM and the third and fourth semesters at HEC Liège.

Enjeux

The double degree enables students to:

  • acquire reasoning and knowledge in the fields of financial institution management and fund management;
  • acquire an in-depth knowledge of financial institutions, markets and financial instruments, as well as the way they operate and are used;
  • master concepts and issues related to portfolio management and management of financial risks;
  • understand the scope of financial operations through mastering innovative approaches and their calculation and optimisation;
  • gain a critical perspective on the skills acquired in the programme through personal reflection on the financial function and the experiences accumulated during individual and group tasks.

Lieux

International

Structure(s) de rattachement

Partenariats

HEC Liège, Belgique

Admission

Pré-requis

Niveau(x) de recrutement

Bac + 4

Candidature

Conditions d'admission / Modalités de sélection

  • Candidates must apply during their M1 in Finance at TSM.
  • Successful completion of 180 ECTS (Master 1) in Management, Economy,Mathematics or Engineering or any equivalent degree.
  • English language test (B2 required).
  • Examination of candidate’s application and possible interview.

Programme

SEMESTER 3 & 4 AT HEC LIEGE

  • Business Ethics and CSR
  • Master Thesis Methodology
  • Seminar on Sustainability and Smart Territories
  • Foreign Language
  • Fund Industry
  • Estate and Financial Planning
  • Financial Risk Management
  • International Finance

One course « Finance » to choose among:

  • Ethics, Regulation and Compliance in Finance
  • Comptabilité approfondie et fiscalité
  • Diagnostics approfondis de l’entreprise
  • Empirical Methods in Financial Markets
  • Financial Data Modeling and Analysis
  • Financial Risk Modeling

One course « Finance » to choose among:

  • Strategic Marketing Seminar
  • International Management Seminar

Mandatory:

  • Thesis
  • Internship

Et après ?

Niveau de sortie

Année post-bac de sortie

Bac + 5

Compétences visées

Fiche RNCP

Débouchés professionnels

Secteurs d'activité ou type d'emploi

Fields of expertise

  • Risk analysis
  • Brokerage
  • Asset management
  • Trading
  • Middle office
  • Design of structured products
  • Private equity
  • Consulting

Inscriptions

Modalités d'inscription

Find all the information (dates and procedures) on the applications for Master (M2) Financial Markets and Risk Evaluation - double diplôme HEC Liège on the Toulouse School of Management website.