MIF - Master in Finance

Request more info

We want you on board

11 months 

Madrid, Spain

International period:

Boston - Washington

English

Re-solution to advance your career

The MiF program is an excellent choice if you want to develop a global and challenging view of finance within an international and multicultural environment. This official master’s degree will position you for excellent career opportunities in the finance industry. A wide range of finance electives will enable you to tailor your own program, matching your career goals.

Duration: 11 months 

Format: In person 

Location: Madrid  

Why join the Msc. in Finance?

Languaje: English

1. Experience real “Learning by doing” in an international environment.


2. Engage with real corporations in on/off campus problem-solving projects.


3. Deliver value to society with financially driven social impact projects.


4. Travel abroad to experience other business realities and learn from them.


5. Be able to choose from three different tracks: Banking and Fintech; Asset Management and Alternative Investments; Quantitative Finance and Data Science.

Next intake: September 2022

Average age: 23 years

Working experience: Recent graduates with 0-2 years of work experience

Tuition fees: 30.000 €

Scholarship program: Yes

CFA University Affiliation Program

As a member of the CFA University Affiliation Program, our MSc. in Finance will help the students to obtain their Chartered Financial Analyst designation.

Study Plan

Topics

TERM 1

TERM 2

TERM 3

TERM 4

BUSINESS AND ECONOMY

Monetary Policy and Economic Analysis (M)

Entrepreneurship (M)

Quantitative Methods in Finance (M)

Financial Statements Analysis and Corporate Finance (M)

FINANCE FUNDAMENTALS

Quantitative Risk Management (E)

Fixed Income Derivatives (E)

Big Data and Artificial Intelligence in Finance (E)

Quantitative Methods and Data Science Seminar (E)

FINANCIAL TECHNIQUES AND BUSINESS ANALYTICS

Project Finance (M) 

Derivatives (M) 

Asset Management and Behavioural Finance (E) 

Blockchain Technology (E)

Global Financial Markets and its Regulation (M)

FINANCIAL MARKETS 

Portfolio Management (M)

Master's Thesis  (M)

Hedge Funds and Real Assets (E)

Private Equity and Impact Investing (E)

Assets Management and Alternative Investments Seminar (E)

CORPORATE FINANCE

Fintech and Banking Disintermediation (M)

Digital Banking (E)

Financial Institutions Management (E)

Banking and Fintech Seminar (E)

Monetary Policy II and Banking (M)

BANKING 

Ethics, Sustainability and Society (M)

FINANCE ETHIC

(M) Mandatory (E) Elective

Managing Director of Advantere School of Management

Guillermo Cisneros Garrido

Doctorate in Economic Science from the University of Barcelona, with post-graduate degrees in Harvard Business School and Babson College. With more than 35 years of experience in companies as ESADE, Santander Group and FIAT Group.

"Now more than ever, it is necessary to educate managers for being re-solutionaries, capable of facing uncertainty and creating unexpected solutions to challenges that no one anticipated. This is Advantere's purpose, to educate ‘change-makers’ through our resolutionary learning".

Real projects based. Real time reactions. Resolutive performance.

We have re-acted to the discovery that

we have to re-learn the way we learn.


Because new times requiere new solutions

and the best collaborators.


That's why we created The RE learning method,

a real-time, genuinely project-based re-learning.

Are you a re-solutionary?