Master in International Finance - IEB · - Introduction to Corporate Finance - Bloomberg Basics ......
Transcript of Master in International Finance - IEB · - Introduction to Corporate Finance - Bloomberg Basics ......
Master in International Finance
Top Ranked Programme:Madrid - Hong Kong - Philadelphia - New York - London
ieb.es
LEARNINGBY DOING
The globalization set in motion during the last century is consolidating in this 21st century. The world of finance is not exempt from what we are experiencing; indeed, financial markets are probably one of the catalysts of this movement and those who work in or with them can vouch for the international and global nature of their work environment.Any professional who looks for achievement and great success in the financial world should, therefore, not only have technical skills, but also a set of skills that can be applied internationally.
The IEB, as leader in financial education in Spain and the Ibero-American region, offers this Master in International Finance to those individuals aiming to become international financial leaders in their respective fields. The Programme has held the first position in El Mundo Annual Ranking the last two years.
The objectives of the Master’s degree are: give students a broad and professional knowledge of all areas of finance from top business schools, offer a practical and up-to-date point of view for the topics covered in the course through examples of how to apply the theoretical concepts to the day-to-day financial world, prepare students to the working environment through the use of Bloomberg as a primary teaching tool and numerous presentations throughout the degree.
METHODOLOGYThe methodology followed is highly practical, based on rigorous and up-to-date contents. Throughout the Master, students are offered examples of how to apply the theoretical concepts seen in class to the day- to-day financial world. Therefore, the theoretical classes will alternate with practical ones in which the students will also use the appropriate IT tools. IEB’s IT room and treasury desk, very similar to those found in any brokerage firm, allows students to put into practice their theoretical knowledge through the use of Bloomberg and real-time trading on IEB’s online portfolio simulation trading platform. Bloomberg is also proactively used by the teachers in class to show examples of the concepts taught.
All students are required to complete a compulsory Final Project, which they will be presenting in front of a jury panel.
QUALIFICATIONThe qualification obtained at the end of the programme is the Master in International Finance Degree. It is issued by the Academic Board of the IEB, sponsored by the Bolsa de Madrid (Madrid Stock Exchange).A diploma will also be issued by IEB´s Partners for each academic stay.The IEB, in collaboration with CFA Spain, includes within this Master the preparation for the CFA Level I. Students will also have the opportunity to attend, at no addition cost, one of the IEB´s Specialization Programmes.
Master in International Finance
Download all the information about this Master here.
APRENDER HACIENDO
IEB: Innovating Finance and Law Education since 1989Founded in 1989, the Instituto de Estudios Bursátiles was the first center in Spain exclusively dedicated to educational studies in Finance; uniquely offering a Master’s Degree in Stock Exchanges and Financial Markets, along with the support and patronage of the Stock Exchange of Madrid.
Since then, more than 85,000 students and professionals have taken part in our educational programs. The IEB is affiliated with the Universidad Rey Juan Carlos and the Universidad Complutense de Madrid, one of the most prestigious and time-honored universities in Spain.
Beginning in 1994, and after the disappearance of the Cuerpo de Agentes de Cambio y Bolsa, the IEB launched its double degree program, in which a select group of students first studied a degree in Law and a Master in the Stock Exchange and Financial Markets.
The development and progress of IEB internationally continues to grow increasingly relevant. In 2002, an alliance was established with the London School of Economics, followed by a partnership with Wharton School in 2009 and with the Chinese University of Hong Kong in 2013. In addition, the IEB shares close relationships with many Ibero-American universities.
Over the years, we have expanded our master’s catalog, from MBAs to the most specialized programs in diverse areas of finance and law.
Currently, the Instituto de Estudios Bursátiles offers more than 50 educational programs with solid academic instruction that encompass Bachelor and Master’s programs, a growing catalog of Executive Educational courses, and an important Summer School Program.
Many of these programs hold the highest rankings in prestigious publications such as the Financial Times and El Mundo.
IEB is member of:
SyllabusMODULE IFoundation course. - Introduction to Financial Markets- Introduction to Corporate Finance- Bloomberg Basics- Introduction to Excel- Principles of Accounting
MODULE IIQuantitative methods applied to finance- Financial Maths- Statistics- Statistics Applied to Finance
MODULE IIIEconomics- Economics
MODULE IVCorporate I- Accounting Review- Capital Budgeting- Capital Structure- Cost of Capital- Creative Accounting- Fundamental Analysis- International Financial Reporting Standards (IFRS)
MODULE VCorporate II- Banking Relationship- Behavioral Finance- Credit Risk- Credit Risk Analysis- Corporate Valuation- Financial Forecasting and Planning- Working Capital Management
MODULE VICorporate III - Basic Finance Syndications- Business International Law- Corporate Governance- Corporate Restructuring
- Mergers & Acquisitions- Mergers & Acquisitions Legal Aspects- Takeovers- Private Equity- Project Finance- Securitization- Trade Finance
MODULE VIIFinance I- Money Markets- Foreign Exchange- Equity Markets- Fixed Income Products- Derivatives- FX Derivatives- Equity Derivatives- Fixed Income Derivatives- Exotic Options- Credit Derivatives- Technical Analysis- Portfolio Management- Performance Measures
MODULE VIIIFinance II - China & Rest of Asia- Geopolitical Risk and Financial Markets- Hedge Funds- Regulation- Risk Management- Structured Products- Taxation- Wealth Management
MODULE IXSkills- Advanced Excel- Ethics- International Negotiation- Negotiation Skills- Presentation Skills
LSE/Wharton/CUHKThe programme includes three Academic Stays abroad and offers, at no additional cost, the possibility to prepare the CFA Level I and a specialization programme.
The programme starts in September and lasts 16 months (10 months of classes and 6 additional months to prepare and present the Dissertation, at the same time as attending their specialization programme and including the London School of Economics Academic Stay) and includes a total of 600 lecture hours.
The majority of the programme is taught at IEB’s headquarters in Madrid, a city considered to be one of the key financial centers in Europe. The Spanish capital, as well as having its own enormous intrinsic strength and vitality, has the advantage of being Europe’s gateway to the Ibero-American world. Today, many of these emerging economies are playing an important role in the International Financial Markets.
In addition, students in the Master in International Finance follow part of their study plan in three of the most prestigious business schools in the world of finance: the London School of Economics (United Kingdom), the Wharton School (USA) and the Chinese University of Hong Kong (China).
The Academic stays in these three world references in financial education and research not only provide the highest standard of teaching and content but also give an insight into key financial centers, such as London, New York, Philadelphia and Hong Kong cities that are worldwide references in international financial leadership.
The Master is a fully English-based programme and, as such, all lectures, class discussions, presentations, student-faculty communications, and documentation are in English. This is important as English is the main language used in the financial world.
The Master in International Finance is the best and most complete Finance Programme in Spain. TheProgramme includes in depth coverage of all fields of finance relevant to today’s financial world. The subjects range from corporate finance and treasury to all financial markets. It also includes important subjects today, such as risk management, regulation and ethics.
By covering all fields of finance, students are then able to choose their preferred area, in which they can then specialize and develop a professional financial career.
Academic StaysTHE LONDON SCHOOL OF ECONOMICS SESSIONSInternational financial regulation
Financial risks
Emerging markets and the Global economy
Risks and rewards of doing business in emerging markets
Private equity
Mergers and acquisitions
Fundamental to ABS and corporate fixed income: What has changed?
The hedge fund industry
THE WHARTON SCHOOL SESSIONSVision of the future for financial services
Venture capital and private equity
Private banking: asset allocation and wealth management
Using financial information intelligently
International cash management
Institutional visits in New York City
THE CHINESE UNIVERSITY OF HONG KONG SESSIONSChina’s economy in the next decade: challenges and opportunities
Current issues in banking
Shadow banking
Investment banking landscape in Asia
Comparision of China’s equity markets: Hong Kong, Shanghai & Shenzhen
Asia’s financial sector
Project finance and infrastructure investment in Asia
Emerging Asia: Economic Reality and Outlook of 12 Asian Economies: China, Hong Kong, Taiwan, Macao, Korea, India, Singapore, Indonesia, Thailand, Malaysia, Philippines and Vietnam
More than 30 years doing business in China
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Faculty StaffAll of the professors of the Master are highly qualified both professionally and academically. They are high level professionals from the financial sector (directors of securities and brokerage firms, and financial institutions, financial analysts, treasury desk managers, portfolio managers, etc) and they all have hands on experience in their areas of expertise.
Javier Amo Fernández de ÁvilaCEO, Iberia Cards
Michael CoxAssociate research fellow at Chatham
House, London
John Danielsson Director of the Financial Institutions and Market
Microstructure Programme at LSE’s Financial Market Group
Simon Flemington Chief Executive Officer of Enterprise LSE Ltd
Daniel LacalleTressis Gestión Director of Investment
Paul McGuinness Professor in the Department of Finance at the
Chinese University of Hong Kong
Javier Montoya Guerrero, CFA Founding partner and Senior Portfolio Manager
at Alpha Plus Gestora SGIIC
John PercivalCEO of JRP Associates and an Adjunct Professor
of Finance at the Wharton School
Roberto Savina, Head of Risk Governance and ERM, Genworth
Mortgage Insurance, Madrid/London
Pablo Swedberg, Professor of Economics at SLU, IE, ICADE and
IEB
Mario Weitz Schneir, Consultant, the World Bank
Miguel Ángel Muñoz de Luna GonzálezVice President, Deutsche Bank Private Banking
Álvaro Benzo González-Coloma Partner, Financial Regulation, PwC
Daniel Beunza LSE research centres on financial exchanges
and socially responsible investment
Mauro F. GuillénProfessor of Sociology in the Department
of Sociology of the University of Pennsylvania
José Antonio Llamazares Esteban Associate/Manager Torlo SL
Stan Ho Ho Ming Global Chief Analyst, Universal Credit Rating
Group (UCRG)
Gonzalo Ávila LizeranzuFinance Advisory Director of Accenture Strategy
Jacobo Cuadrado ArévaloFinancial Advice Director, VISAN
Javier Fernández González Spain and Portugal Sales Manager, Julius Baer
Juan Fúster Garaizábal
Ex Citibank Madrid FX, Derivatives and Volatility Head
Robyn Klingler-VidraProfessor of Foreign Relations Politics
undergraduate course at LSE
Jorge Medina AznarDirector of the Executive Master in Responsible
Banking, IEB & WSBI, in Association with LSE
Philip M. NicholsAssociate Professor of Legal Studies and
Business Ethics at the Wharton School
Enrique Pérez-Hernández Ruiz-Falco Member of the Board of Directors at Endesa
Julius SenSpecial adviser to the professional public affairs
body, FIPRA International
Carlos Ernesto Teissier Zavala Director and Founding Partner of “Global Cultural
Dynamics” Consulting Firm
Borja Zamorano Moro Managing Director of EMEA Primary Debt
Markets, Mizuho International plc
José Antonio ZarzalejosCorporate Finance Director at PwC
Jaime Azcoiti Chief Risk Officer for Asia at BBVA
Tim Buss Chartered Accountant (ACA) at PwC
Óscar Gil Flores Executive Director in Global Markets
Risk Unit, BBVA
Aitor Lizarralde Toranzo Corporate Finance Director, Norgestion
Peter K. YamAdjunct Professor, Department of Management
CUHK
Coloma Armero MontesIndependent Director of the Board of Directors
of Cemex Latam Holdings, S.A.
Juan Cuesta DiegoPartner at MBO Partenaires
Pablo Fernández GuerraDirector PwC Tax & Legal Services (Madrid)
Christopher Geczy Academic Directorship of the Wharton Wealth Management Initiative at Wharton Executive
Education
Qun Liao General Manager & Chief Economist, Research
Department, China Citic Bank International Limited
Sergio MíguezInstitutional relationships Manager at EFPA
Spain
Gabriel Núñez Fernández Partner at Uría Menéndez
Jose Ramón Pin Professor of Managing People in
Organizations and Business Ethics, IESE
Mingchun SunSenior Partner & Chief Economist, China Broad
Capital Co., Ltd
Hugh Thomas Associate Director of Center for
Entrepreneurship CUHK Business School
Álvaro González-Coloma Partner, Financial Regulation, PwC
Paloma Cabello EstebanInvestments Sr. Advisor Castlelake
(formerly TPG Credit)
Jaime Enrique Hugas Co-Founder and Managing Partner, BLUMEDA
Asset
A. Craig MacKinlay Joseph P. Wargrove Professor of Finance
at the Wharton School
Roberto Knop Muszynski President, JLL
DIRECTOR OF THE MASTERManuel Goudie Pujals
Ex Country Risk Manager, Citibank Spain & Portugal
DEPUTY DIRECTOR OF THE MASTER Katia Velasco Antón
Ex Head of Global Credit, HSBC Asset Management
You will find below a list of the professors participating in the Master Programme. The list includes lecturers from the IEB, The London School of Economics, The Wharton School and The Chinese University of Hong Kong. The faculty of the Master in International Finance includes Directors and Deputy Directors of other Masters at the IEB.
Tuition FeesMaster Programme and Academic Stays
The Master’s tuition fees are 25,000 Euros. They include IEB, CUHK, WHARTON and LSE’s tuition fees, all the documentation, access to all facilities, as well as a Personal Laptop computer.
IEB may grant students with an outstanding academic record a scholarship after due consideration of their scholarship application.There are 3 types of scholarships: Academic Excellence Scholarship, designed for students who have received an Honorable Mention, Mobility Scholarship, designed for Students with travel and initial moving costs and Financial Aid Scholarship, for outstanding students in financial need.
These scholarships could amount to up to 20% of the Programme’s tuition fees (25,000 Euros). The final decision regarding whether or not to grant a scholarship as well as its amount rests with IEB’s Admissions Committee.
In addition to the Master´s tuition fees, there is an Academic Stay fee of 6,000 Euros. This fee covers the transportation and accommodation costs of the three academic stays that IEB organises. The fee is a total amount for all three stays and cannot be split into individual stays. Students, however, can decide to organise their own travel and accommodation, at their own expense, and, therefore, not pay the Academic Stay fee.
The Master’s tuition fee and the Academic stay expenses fee can be paid as a lump sum or in instalments. All payments made by instalment will need to follow a predetermined calendar that will be pre-agreed and specified on the Admission Certificate.Applicants can also benefit from special conditions offered by several financial institutions to IEB students. Students interested in taking advantage of these special financial conditions can ask for additional information after completing the admissions process.
AdmissionTrain with the Leader
The Master is aimed at undergraduate students from all fields of study with a good level of English, as well as professionals with no more than four years working experience in finance or looking to change from their current field of work to the world of finance.All candidates go through several interviews with the members of the Admissions Committee, as well as carrying out several online tests, before joining the programme.All candidates applying for the Master in International Finance should submit to the Admissions Department a duly filled in application form as well as provide a copy of their academic qualifications, their identity card or Passport, 4 passport size photos and a brief CV.All candidates will have to take online tests to determine their level of English and other relevant knowledge as well as undertake personal interviews with members of the Admissions Committee.Master in International Finance students come from all over the world and all types of academic background. They reflect the very international nature of the Programme.
C/ Alfonso XI, nº6 • 28014 MadridTel.: 91 524 06 15 • Fax: 902 190 200 / 91 521 04 52
[email protected] • www.ieb.es
CalendarRuns every year from September to December following year.Schedule: Monday to Thursday 9:00 –14:00Duration: 600h