The Postgraduate Programme in Financial Markets and Risk Management aims to provide a high-quality, up-to-date training day in the areas of financial markets and instruments, investments, valuation of financial instruments, derivatives, financial risk management and assessment.
The outline and practical approach of the program have been tailored to the needs of experienced professionals.
Destinatários do curso
Traders, brokers and dealers in financial instruments
Asset management executives and specialists
Banking and insurance professionals
Central bank executives and other supervisory specialists
Investors in financial markets
Middle and senior managers involved in risk management
Engineers, mathematicians and others with a quantitative background looking to acquire skills in financial markets and instruments
Pós-Graduação
Áreas de formação do curso
Contabilidade, Finanças
Economia, Gestão
Áreas de especialização
Financial investments
Analysis of Financial Statements
Introduction to forwards and futures
Ethics and esg standards
Fundamentals of corporate finance
Línguas do curso
Inglês
Horário do curso
Thursdays from 6 p.m. to 10 p.m. Saturdays from 9 a.m. to 1 p.m.