Solvay Brussels School of Economics and Management

Advanced Master in Quantitative Finance

4.6 excelente 5 opiniones
Solvay Brussels School of Economics and Management
En Brussels (Belgium)
  • Solvay Brussels School of Economics and Management

$ 341,459
*Precio Orientativo
Importe original en EUR:
15,000 €

Información importante

Tipología Postgraduate
Lugar Brussels (Belgium)
Duración 11
Inicio 16/09/2019
Prácticas en empresa
  • Postgraduate
  • Brussels (Belgium)
  • Duración:
  • Inicio:
  • Prácticas en empresa

With the Advanced Master in Quantitative Finance just added by Emagister, you will be able to prepare yourself and become the new generation of financial professionals.

This program will allow you to built strong your skills in order to be an outstanding professional. The main objective of the course is to give you a full coverage of financial disciplines.

Discover more about the program and contact

Información importante
¿Qué objetivos tiene esta formación?

By the end of this Advanced Master, you will be able to:

- Build asset management strategies and construct robust asset portfolios both within asset classes as well as across different asset classes.
- Create, program and back-test structured derivative products. Gain a better overall understanding of the derivatives markets compared to other graduate students and many junior professionals.
- Efficiently extract data from massive databases and understand the valuation aspects of counterparty risk in derivatives trading (arguably two of the hottest areas in today’s quantitative finance).
- Understand the context of the financial markets where these products exist and analysis are framed. Be more effective and creative in their professional environment and therefore progress more quickly in their careers.

¿Esta formación es para mí?

The Advanced Master in Quantitative Finance seeks:

- the highest calibre students, displaying the greatest motivation to take and complete the program
- candidates with an outstanding academic background, intellectual curiosity and the discipline necessary to succeed in a very demanding environment
- candidates with at least a graduate degree or equivalent. This degree should be, but not exclusively, in economics, finance, mathematics, physics, chemistry, computer science or engineering
- professionals in the financial sector with experience in quantitative activities

¿Qué pasará tras pedir información?

The school representative will contact you in order to reply to any questions you still may have regarding the programs and/or the admission process.

: Early-Bird discounts, amounting to €1.000, will be recognized to candidates who will send their applications by April 16th, 2018 (valid only for registrations confirmed within 2 weeks from receipt of the admission documents).

Requisitos: Eligible applicants must hold one of the following: - Master or Master of Science Degree or equivalent (4 or 5 years of study overall) - Bachelor Degree with 180 ECTS credits or equivalent, preferably followed by 1-3 years of work experience Admissions will be based on the candidates’ academic and/or professional background, and motivation. Proficiency in English necessary.

Prácticas en empresa

Instalaciones (1) y fechas
Dónde se imparte y en qué fechas
Inicio Ubicación Horario
16 sep 2019
42, avenue F.D. Roosevelt, Bâtiment R42 - CP114/01, 1050, Brussels Hoofdstedelijk Gewest, Belgium
Afternoon and evening classes.
Inicio 16 sep 2019
42, avenue F.D. Roosevelt, Bâtiment R42 - CP114/01, 1050, Brussels Hoofdstedelijk Gewest, Belgium
Horario Afternoon and evening classes.


Valoración del curso
Lo recomiendan
Valoración del Centro

Reseñas de este curso

Lo mejor: Thanks to Solvay’s networking opportunities, I had the chance to get an interview and job offer after the first event!
A mejorar: Nothing
Curso realizado: Septiembre 2013
¿Recomendarías este centro?:
Lo mejor: The program goes deep in different aspects, so, it is extremely demanding. But you can trust in the teachers since they are always willing to push you forward.
A mejorar: All good
Curso realizado: Julio 2016
¿Recomendarías este centro?:
Lo mejor: The most important thing about this Advanced Master is that it teaches you the complete advanced skill set you need to work in the financial industry.
A mejorar: Nothing
Curso realizado: Mayo 2016
¿Recomendarías este centro?:
* Reseñas reunidas por Emagister & iAgora

¿Qué aprendes en este curso?

Asset Management
Risk Management
Quantitative Finance
Algorithmic Trading
Fixed Income

Programa académico

Overview of Courses

Term 1 courses: probability, overview of financial markets & regulation, financial engineering & data science (FEDS) I, stochastic calculus, estimation
theory and numerical methods.

Term 2 courses: asset pricing:theory, derivative pricing:theory, financial econometrics, asset pricing: practice, financial engineering & data science (FEDS) II.

Term 3 courses: asset pricing: practice, risk & risk management, object-oriented programming using C++, fixed income.

Term 4 courses: big data & algo trading, modern robo advisory, derivative pricing: practice, credit risk, financial engineering & data science (FEDS) III.

High-level coursework delivered by an exceptional cast of professors comprised of highly respected academics and senior financial professionals.  Courses are in the afternoon and evenings to enable (advanced) participants to combine it with a part-time professional activity.

The final term (Term 5), lasting three months and ending in August, is devoted to the final thesis or to a corporate internship in a top-quality financial institution such as ING, Belfius, BNP Paribas Fortis, GDF Suez, the European Commission to a Los-Angeles based hedge fund.

Información adicional

In recent years over 80% of the graduates had found a job before graduating.