1-Year MSc in Financial Markets & Sustainable Investment

How to invest sustainably in an unstable world?

1-Year MSc in Financial Markets & Sustainable Investment

The Program

Audencia's MSc in Financial Markets & Sustainable Investments embraces these important developments and trains you in this new context to:

  • Manage the valuation of assets, derivatives, and alternative investments/manage the valuation of assets, derivatives, and alternative investments
  • Develop advanced knowledge of sustainable investment tools and best practices/develop advanced knowledge of sustainable investment tools and best practices, including ESG factors.
  • Acquire/implement risk management techniques
     

As part of this program, numerous professional facilities are at your disposal! Take advantage of trading rooms equipped with free Bloomberg terminals to connect directly to financial markets around the world in real time. You can also explore Refinitiv Eikon, a financial information platform that provides market data and analysis tools like the professionals.

At the end of Audencia's MSc in Financial Markets & Sustainable Investments program, you will have recognized expertise in asset valuation, risk measurement, bond/equity/money market analysis, the use of derivatives, the implementation of investment strategies, the integration of ESG factors, and the application of data science techniques to asset management.

Program Goals

The program will guide you in developing a strategic mindset to handle multiple financial investments driven by long-term business viability, profitability considerations, and sound data analysis. You will acquire a deep knowledge of modern financial markets, a critical mindset on the complex interactions of financial sustainability facets, and sound quantitative analysis skills.

List of courses

  • Portfolio Management
  • Fixed Income Analysis
  • Derivatives
  • Matlab
  • Monetary Policy
  • Empirical Finance
  • Corporate Finance
  • Equity Valuation
  • Advanced Financial Analysis
  • ESG Investments
  • Alternative Investments and Smart Beta
  • Blockchain and Cryptofinance
  • Data Science and Machine Learning
  • Risk Measurement and Management

Pedagogical methods

The program is based on alternating theoretical and practical sequences (face-to-face or distance learning) using business simulations, case studies and interactive lessons.

Assessment Terms

Continuous monitoring, Examens sur table, Final dissertation

Teaching methods

  • Theoretical Courses 
  • Case Studies
  • Practical Exercises
  • Group Projects