2014 - 2015 Programme
Advanced master in Financial Risk Management
The Advanced Master in Financial Risk Management is a one-year programme, and its counts 60 ECTS credits.
First-term Programme (from mid-September to December)
Asset Pricing [1 Q. • 45 Th. • 9 ECTS] Zhang Hairui
Corporate finance (1st part) [1 Q. • 15 Th. • 3 ECTS] Nsabimana André
Treasury Management Policy [1 Q. • 30 Th. • 6 ECTS] Seynave Thierry
Statistics for Finance [1 Q. • 15 Th. • 3 ECTS] Broze Laurence
Second-term Programme (from February to May)
Credit Risk Management [2 Q. • 30 Th. • 6 ECTS] Paris Tamar
Fiscal and Regulatory Legislation [2 Q. • 15 Th. • 3 ECTS] Colmant Bruno
Risk Management and ALM [2 Q. • 45 Th. • 9 ECTS] Mathieu Yves
Dissertation in Financial Risk Management [A. • 18 ECTS] Wibaut Serge
Corporate Finance (2nd Part) [2 Q. • 15 Th. • 3 ECTS] Nsabimana André
Examination sessions in: January, June and mid-August/September.