Master in Finance
Are you interested in increasing your knowledge in finance? If your answer is “yes” then you should join this Master in Finance, by Università Commerciale Luigi Bocconi, that Emagister.co.uk has added to its catalogue.
This is a very complete program that offers challenging courses in all areas of finance, investment banking, corporate finance and advisory, quantitative finance, risk management, derivatives and asset pricing.
Teaching is structured along a number of alternative strategies and methodologies that combine: case studies, group assignments, hands-on lab sessions based on modern software to develop skills in managing data and illustrate typical results from the application of statistical methods in the econometrics sequence.
You will also learn through simulated trading sessions in the derivatives sequence; and meetings and guest sessions with operators from top financial institutions.
These moments of first-hand testimony, integrated into many subjects, are a great opportunity for our students. They are facilitated by the fact that Bocconi is at the heart of a financial center like Milan, a natural international crossroads for exchange and relationships.
The program presents many career opportunities as managers, analysts and economists at banks, insurance companies and other financial institutions, as well as consultants in either corporate finance advisory or finance divisions of large consulting companies and financial authorities and regulators.
So, if you want more information about this programme contact Università Commerciale Luigi Bocconi through Emagister.co.uk without hesitation. You won’t regret it!
Sedi e date
Inizio del corso
Inizio del corso
Profilo del corso
The Master of Science in Finance has the following educational objectives: provide advanced preparation in the main business areas: corporate finance, quantitative finance, management of financial institutions and investment banking necessary to work in the international context of corporate finance and financial markets and institutions; develop the skills to combine company assessment and fundamental analysis with quantitative competences, and to operate both as an expert, as well as in the areas of investment banking and capital markets of the major financial intermediaries; complete the business studies providing competences in economics and law, so as to develop problem analysis skills in interdisciplinary areas; develop competences via educational activities inside and outside the classroom which promote student-teacher interaction and interaction between the students themselves as well as complex problem analysis, problem solving skills, ability to present and discuss the results of one’s work; promote competence (in the business area) in the use of English and of a second EU language to work effectively and efficiently in one’s profession.
If you are interested in attending a 2019/20 AY Bocconi Master of Science Program, find out more about the necessary steps: when to apply; selection process; results; enrollment process for admitted students
The main career opportunities are the following: Manager at banks, insurance companies and other financial institutions Corporate finance/investment banking analyst in investment banks or other financial institutions Equity and debt analyst/financial analyst and economist Trader/sales/structures in equities, fixed income, currencies, derivatives Asset manager Private banker/sales to institutional clients Risk manager Consultant in either corporate finance advisory or financial institutions’divisions of large consulting companies Consultant and analyst at authorities and regulators of the financial system
The following are included in the 1st installment: in addition to program fees, the registration fee of € 275.00, the regional tax of € 140.00, fixed stamp duties of € 16.00 and It is also required by the bank an expense of € 3 for MAV generation. Amounts and installments for students enrolled from 2nd year 2018-2019 a.y. can be found to the following web link. Throughout the entire legal duration of the degree program, the amounts due for the registration fee and tuition will be adjusted regarding inflation and any other updates. Moreover, students can benefit from further fee reductions through percentage reductions or evaluation of the particular situation of the family. For Bocconi students who decide to attend a second Master of Science program at Bocconi, a reduction of 40% off the overall cost of tuition and fees is offered. This is equal to exemption from the 2nd payment installment.
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14 anni del centro in Emagister.
- Project manager
- Finanza aziendale
- Finanza e controllo
- Finanza d'impresa
- Financial modelling
- Corporate valuation
- Financial analysis
- Statistical methods
This program's curriculum is designed to provide an optimal balance between theory and its practical application in the industry. In the first year, the Master of Science in Finance offers key skills in all the major areas of finance, from accounting, corporate finance and investment banking to investments, quantitative finance, risk management and derivatives. This exposure to all key areas of finance, rather than just a subset of them, is crucial to enable students to become competent and flexible professionals, able to interact with colleagues from different divisions and backgrounds in their future careers.
The second year offers the choice of a wide number of specialized elective courses that can be chosen in accordance with desired career paths and personal interests, going further in-depth in fields such as investment banking, quantitative finance, asset management and insurance, management and consulting for financial institutions.
at Bocconi (Milan)
- Investments and Portfolio Decisions
- Financial Modelling
- Corporate Valuation
- Financial Analysis and Reporting
- Statistical Methods in Inference and Forecasting
This semester provides a rigorous set of tools to interpret financial phenomena in the perspective of modern finance and accounting theories.
- Derivative Pricing
- Investment Banking and Capital Structure Operations
- Company and Financial Markets’ Law and Regulations
- Risk Management and Capital Compliance
- Econometrics of Time Series Applied to Pricing and Portfolio Management
Students will further expand their knowledge of concepts and applications of financial modeling tools to applications relevant in the world of banking and of financial services and advisory.
at Bocconi (Milan) and /or abroad
- Financial and Insurance Institutions Management
- Corporate Advisory and Investment Banking
- Quantitative Finance and Asset Management
- 4 electives
Study Abroad Programs
- Double Degrees with:
ESADE Escuela Superior de Administracion y Direccion de Empresas (Barcelona, Spain)
HEC École des Hautes Etudes Commerciales (Paris, France)
Keio University (Tokyo, Japan)
RSM Rotterdam School of Management, Erasmus University (Rotterdam, the Netherlands)
Stockholm School of Economics (Stockholm, Sweden)
NOVA School of Business & Economics (Lisbon, Portugal)
- Advanced Economics Exchange program: a unique, challenging program for up to 6 students to spend the entire second year attending the PhD program in Economics at either
University of Wisconsin-Madison (Madison, US)
Yale University (New Haven, US)
- Exchange Programs
Foreign languages (two languages)
A Double Degree is a joint program that allows you to study at two top business and economic schools and receive two diplomas, one from each University. You will spend the first academic year at Bocconi and the second academic year at a prestigious partner.
- ESADE Escuela Superior de Administracion y Direccion de Empresas (Barcelona, Spain)
- HEC École des Hautes Etudes Commerciales (Paris, France)
- Keio University (Tokyo, Japan)
- RSM Rotterdam School of Management, Erasmus Universiteit (Rotterdam, The Netherlands)
- Stockholm School of Economics (Stockholm, Sweden)
- NOVA School of Business & Economics (Lisbon, Portugal)
Advanced Economics Exchange Program
A unique, challenging program: up to 6 students have the opportunity to spend the entire 2nd year attending the PhD program at:
- University of Wisconsin-Madison (Madison, US)
- Yale University (New Haven, US)
A study abroad experience lasting one term at a top partner university. Our Exchange partners include:
- EDHEC Business School (France)
- University of St. Gallen (Switzerland)
- The University of Warwick (UK)
- University of Michigan (US)
- Jiao Tong University, Shanghai Advanced Institute of Finance (China)
- The University of Sydney (Australia)
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Master in Finance