Master in Financial Markets and Asset Management

Overview
Acquire the quantitative and institutional toolkit to analyze financial markets, build portfolios, and manage risk across asset classes.What You’ll Learn
- Market microstructure & instruments
- Portfolio theory & asset allocation
- Equity, fixed income, FX & commodities
- Derivatives & hedging strategies
- Risk measurement (VaR, stress, liquidity)
- ESG integration & stewardship
- Behavioral finance & biases
- Investment policy & reporting
Program Details
- Duration: 12 months
- ECTS: 60
- Language of Instruction: Spanish
- Mode: 100% Online (synchronous and/or asynchronous)
Key Benefits
- Spanish Language Proficiency (C2)
- ATEEN Recognition
- ASEP Recognition
- OPSYD Recognition
- Full support for assignments & exams
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