CIFF Since we know that the financial sector struggles to emerge from a complex situation both by restructuring the market itself is experiencing, and the appearance of new products requires us to avoid making past mistakes. This requires professionals to balance their busy day to day with a company specialized in the field of valuation of financial assets as of the measurement and control of risk, which enhances their career training.
The Master of Quantitative Finance is a program by and for professionals specialized in the training of analysts capable of performing risk assessments accurate enough to enable them to undertake good investment and hedging strategies, and quants who can successfully meet the assessment of financial derivatives commonly used both as new products are scheduled for launch.
Therefore we offer: - EXECUTIVE A program that allows you to combine training with your workday with weekly classroom sessions on Fridays and Saturdays.
- A methodology that combines leading technology analysis tools, using case studies and group work, and which gives our students a 360 ° view to addressing any problems.
- With access to an INTERNATIONAL CERTIFICATION, through the preparatory course included in the Master in Quantitative Finance: Financial Risk Manager (FRM Level I and II).
- A TEACHING FACULTY consisting of working professionals by major banking and financial institutions, providing it to the master in quantitative finance applied a marked character.
- A TALENT DEVELOPMENT department that not only cares about get you the best opportunity for professional development, but also advises you how you and all the necessary fields to overcome any selection process.
Dr. José Javier Núñez Velázquez Director of the Master in Quantitative Finance CIFF-University of Alcalá
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