IEB - Instituto De Estudios Bursátiles

Introduction

IEB - Instituto De Estudios Bursátiles, headquartered in Madrid, is currently the official center leader in the field of financial education in Spain and Latin America, attached to the Complutense University and sponsored by the Madrid stock exchange.

The ownership of the Center for corresponds to an association formed by personalities of public life and politics of the Spanish economy (President and Vice-President of the Madrid Stock Exchange, the President of the Prince of Asturias, former members of governments Spain-Deputy Prime Minister, Minister of Economy, the former Governor of the Bank of Spain, former House Chief of His Majesty the King or the President of the BBVA Foundation).

The IEB has a practical nature and quality in all programs, not just by the very method of study, also by the small number of students studying in their classrooms and teachers with excellent picture that counts.

This school offers programs in:
  • English
  • Spanish

View master programs »

Programs

This school also offers:

Master

Executive Master in Management of Financial Institutions

Campus Part time 1 year April 2017 Spain Madrid

The depth of the current financial crisis implies radical changes to the structure and management of banking entities throughout the world. Globalisation of financial markets requires banking entities to be far [+]

Executive Master in Management of Financial Institutions

The depth of the current financial crisis implies radical changes to the structure and management of banking entities throughout the world. Globalisation of financial markets requires banking entities to be far more efficient and more resistent to financial and operational risks.All the financial entities without exception are revising their strategy and adjusting their management to the new circumstances, the IEB has added to the Executive Master study plan all those subjects which have arisen as a consequence of the required process to the new national and international banking environment.

Duration, Calendar and Schedule... [-]


Executive Master in Responsible Banking

Online 1 year

The Executive Master in Responsible Banking is a one-year programme designed for bankers and future financial service providers who wish to sustainably change the banking industry. Organised by three major [+]

Executive Master in Responsible Banking

The Executive Master in Responsible Banking is a one-year Programme designed for bankers and future financial service providers who wish to sustainably change the banking industry. Organized by three major international players in the banking and academic sectors it delivers two specializations, one in retail banking, the other in corporate banking. Each chapter is analyzed from a responsible management perspective emphasising the bank's economic role and its impact on social welfare and the environment.

The Executive Master's Online modular set up is enriched with local study visits to banks and academies in order to illustrate the content and facilitate professional exchanges. Coaching sessions are planned to reinforce the Executive master's course insights. Programme accreditation ensures the highest quality of instruction.... [-]


Master in Corporate Finance and Investment Banking

Campus Part time 1 year January 2016 Spain Madrid

Throughout recent years, Investment Banking in general and Corporate Finance in particular have considerably evolved. Firstly, big Corporations require greater added value new services from the banks [+]

Master in Corporate Finance and Investment Banking

Throughout recent years, Investment Banking in general and Corporate Finance in particular have considerably evolved. Firstly, big Corporations require greater added value new services from the banks they work with. Secondly, companies are confronted by the wide diversity and sophistication of the financial operations that require tailor made and personalised treatment. In addition, it is ever more obvious that Investment Banks are obliged to convert themselves into Global Banks capable of meeting any request from either companies or private investors.

So, the specialised professionals in this area as well as financial departments of companies have seen how the financial tools required to meet their new needs have become considerably more complicated; training in this field is, therefore, more than ever before, a necessity.... [-]


Master in Financial Auditing and Risks

Campus Part time 1 year February 2017 Spain Madrid

The Master not only goes into depth of accounting and other aspects of the auditing field but also devotes various chapters to thorough knowledge of those financial products most used by financial [+]

Master in Financial Auditing and Risks

The Master not only goes into depth of accounting and other aspects of the auditing field but also devotes various chapters to thorough knowledge of those financial products most used by financial institutions and by the treasury departments of big companies. Finally, it also covers those aspects related to the different types of risks faced by people who operate in financial markets and of which an auditor should have in depth knowledge.

Duration, Calendar and Schedule

The Master Specialised in Financial Auditing lasts for 501 lectur hours.

The timetable for the classes is:

Fridays from 6 p.m. to 10 p.m. Saturdays from 6 p.m. to 10 p.m. ... [-]

Master in Financial Options and Futures

Campus Part time 1 year February 2017 Spain Madrid

Since the year 2000 the IEB has offered the only Master solely focused on the field of Derivatives. Since the end of the 80s, options and futures have become the cornerstone of financial markets. We have [+]

Master in Financial Options and Futures

Since the year 2000 the IEB has offered the only Master solely focused on the field of Derivatives. Since the end of the 80s, options and futures have become the cornerstone of financial markets. We have seen how the convergence process towards the single currency has brought about an important drop in interest rates which ultimately resulted in traditional investment products losing their appeal.

Consequently, the different Investment Banks have sought imaginative alternative investments through the use of derivatives (Guaranteed Funds, Indexed Bonds and Deposits, Equity Swaps, Warrants, etc...). This process implies greater sophistication of financial products in coming years with the aim of achieving a better balance between risk and return for the investor.... [-]


Master in International Finance

Campus Full time 9 months February 2017 Spain Madrid

This full time master program is taught entirely in English language. Its main objective is to have a deep understanding of how do international financial operations behave worldwide. [+]

Master in International Finance

This full time master program is taught entirely in English language. Its main objective is to have a deep understanding of how do international financial operations behave worldwide. In order to pursue this goal, the master degree is supported by two prestigious academic institutions: Wharton School and The London School of Economics and Political Science.

In this sense, faculty staff of both leading centers will collaborate with the IEB professors. Furthermore,  the students will travel to Philadelphia and London to attend to specialized seminars.

Regarding the content of the program, students will analyze the fundamentals of finance, the main international corporate finance structures, the most important financial markets and how does the international payment system work and its implications in the banking sector.... [-]


Master in Portfolio Management

Campus Part time 1 year January 2016 Spain Madrid

This is the first Master in Spain exclusively focused on Portfolio Management. It satisfies the existing demand in the Spanish market that arises from the growing sophistication in portfolio management [+]

Master in Portfolio Management

This is the first Master in Spain exclusively focused on Portfolio Management. It satisfies the existing demand in the Spanish market that arises from the growing sophistication in portfolio management that results from new financial instruments available to the manager (options, futures, swaps, strips, etc...).

In addition, the Programme not only goes into the details of the characteristics of those assets most traditionally used by managers (fixed income, equity, etc...), but also describes in depth newly appeared funds which are currently available to the manager or final investor ( REITs, Venture Capital Funds, mortgage backed, guaranteed return funds, second generation structured products, etc...).... [-]


Masters In Financial Markets And Asset Management (on-line)

Online Part time 1 year September 2016 Spain Madrid

Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management simulations in real time. [+]

Master in Financial Markets and Asset Management (on-line)

 

This Master program has multiple objectives. On the one hand, has as its fundamental objective to deepen those aspects that are essential for understanding the stock market in particular and financial markets in general. On the other hand, the Master program is useful both for those without experience who want to enter the exciting world of Financial Markets to those professionals who want to achieve more robust from a technical standpoint.

 

 

Objectives and Methodology

The Master program is designed to maximize the wizard using the most advanced tools that allow companies to assess, calculate the price of a bond pricing options for different models, build a system to manage different types of assets, graph through a different excel sheet strategies market using options and futures, etc ... Finally, the Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management simulations in real time. ... [-]


Private Banking And Financial Advisory Services (in Person And On-line)

Online & Campus Combined Part time 15 months September 2016 Spain Madrid

The degree of competition and sophistication of private banking clients over the past decade has been accompanied by a remarkable development of new non-traditional investment instruments. [+]

Private Banking and Financial Advice (Face and On-line)

PREPARATION FOR THE ACCREDITATION EFA ®.

 

The degree of competition and sophistication of private banking clients over the past decade has been accompanied by a remarkable development of new non-traditional investment instruments. In this sense, the alternatives have come to play a key role in investors' portfolios in the business and financial institutions serving these customers. This course aims to a better understanding of private banking in a global context and identifying the determining factors in the decision making of private banking clients. For proper design of the "Investment Policy", a reference in the wealth management, is essential to understand alternatives. Business structure that meets the requirements of investors have to develop in a fully integrated model in the bank. ... [-]