Introduction
The MBA Trading - Market Finance , 30th promotion in 2017/2018, is now recognized and appreciated by professionals of the financial markets (traders, sales, brokers, financial analysts, quants, structurers, risk managers, etc.) as one of the best training courses in this sector of activity (front office jobs, etc.).
This is to provide students with in-depth knowledge of international stock market and financial techniques. Real professional learning is offered with the use of a trading room with 16 PRO REAL TIME FX sets; it is one of the best financial platforms in technical analysis present in the large trading rooms of the largest banks in Paris and London. Thus, the issues of foreign exchange, interest rates, equities / indices, trading of commodities, oil, conventional and structured derivatives, credit and climate derivatives, quantitative and alternative management (hedge funds) and actuarial . The trading room is also equipped with the BLOOMBERG Terminal, world reference of excellence in the world of financial markets and commodities
This specialized MBA therefore provides the necessary skills to work on all media and all types of markets. Its mode of recruitment very adapted to this singular professional environment, ( type interview of the Market Room as it is practiced within the Banks of Markets and International Brokers ) its style, the strength of its network of old ( 1462 in 2017 ) now present throughout the world and its original pedagogical methodology (Trading situation, Risk Management, Marathon of proofs) make it one of the references with many Traders, Sales
Courses are always viewed from a Front, Middle and Back Office perspective. This point is extremely important because the creation of the TRADING Pole, this pedagogical philosophy, is very present in the world of International Trading.
Standings
This training was classified by SMBG EDUNIVERSAL in Market Finance and Portfolio Management :
2nd in 2011, 2012 and 2013
3rd in 2008 and 2014
4th in 2005, 2006, 2007, 2009, 2010 and 2015
5th in 2003, 2004, 2016, 2017
Georges Castel, the director of the program, received the prize for the best pedagogic trainer in 2011 and 2012 at the Pedagogy Awards.
The objective of this program is to train professionals who possess the theoretical knowledge, the agility and the method necessary for a fast insertion in all the circles of the finance. This specialized MBA provides the necessary skills to work on all media and all types of markets. The MBA Trading - Finance Market, 31st promotion in 2018/2019, is now recognized and appreciated by financial market professionals (traders, sales, brokers, financial analysts, quants, structurers, risk managers) as one of the best training in this sector of activity (front office jobs, etc.).
Who is the training for?
The MBA Trading - Market Finance is primarily aimed at Engineers, Business Schools, M1 Finance, Economics Management, AES, Law.
Program
Module 1: Derivatives and regulation
Financial Markets Law and Regulation
Classic and exotic derivatives in financial risk management
Credit derivatives and securitization
Economic Intelligence and Financial Ethics (in English)
Module 2: structured products and alternative management, conjuncture
Quantitative and alternative management
Structured products, equities, equity derivatives
Trading, stocks and repo
Economic situation: market letter (in English)
Module 3: fundamental and technical analyzes, equities, forex and rates
Technical Analysis: TD Course with Traderforce - CAAM
Equity Financial Analysis
Money markets, foreign exchange markets and their derivatives
Management of interest rate positions, swaps and bonds
Module 4: quants and IT
Fundamental Actuarial Mathematics
US Markets and CFA Preparation
European equity markets
Financial Computing
Module 5: Finance Trading and Asset Management
Finance International Trade:
Climate Derivatives
Oil trading
International Commodity Trade (in English)
Asset Management:
Risk Management
Alternative Management, Hedge Funds
In-depth bond markets (in English)
Module 6: 3rd cycle memory
Works Defense
Teaching method
The MBA Trading - Market Finance has been designed with a very operational focus, in order to learn to negotiate, manage risks, and monitor market operations, from a traders, salesmen, brokers, fund managers, quants, structurers, asset-liability managers and financial risk managers of the company.
MBA Trading Partnerships - Market Finance
ALL Options, Amundi, Aurel Leven BGC, AXA IM, Banco BBVA, BAREP, Bloomberg, BNP Paribas, Corblet Brodeur, Bull Moose Derivatives, Caisse des Dépôts, CALYON, CARGILL, CIC, Commerzbank, Compagnie 1818, Cantor Fitzgerald, Day by Day , EDF
opportunities
The MBA Trading - Market Finance offers several possible opportunities:
Traders
The 1462 alumni (from 1989 to 2017) are present in London, New York, Paris, Amsterdam, Frankfurt, Brussels, Luxembourg, Geneva, Lausanne, Montreal, Monaco, Hong Kong, Singapore, Sydney, Tokyo, Madrid, Montreal, Oslo, Tel Aviv, Jeddah, Bahrain and Dubai.
admissions
The School offers you the possibility, for all its courses, to apply online throughout the year: from January to December.
The selection of candidates is done on file (CV application questionnaire) followed by a motivation interview.
Admission Requirements for the MBA Finance Market:
License 3 validated or in the process of validation for a two-year university course (Master 1, Master 2 program)
Master 1 validated or in the course of validation for a schooling during a university year (Master 2 program)
Can also apply, the company executives