Master in Financial Markets and Asset Management

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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