Investment Banking - rate 250,000 rub. from Russian Economic University named after. G.V. Plekhanov, training 1 year 2 months, Date: November 29, 2023.
Miscellaneous / / November 30, 2023
Greetings from the Investment Banking Program Manager
Dear colleagues and future listeners!
In conditions of instability and globalization of the financial environment, professionals need both fundamental knowledge in the field economics, finance and mathematics, as well as skills in applying modern management technologies in financial sphere. This principle is embedded in the structure of the program. As a result of the training, you will gain practical knowledge and skills in the field of investment and mathematical analysis and master effective tools in the field of financial risk management.
The program is aimed at training international-level financial analysts, with the possibility of subsequently confirming their qualifications at the CFA Institute (USA).
The program involves certified practicing teachers, specialists in the field of finance, investment and risk management (holders of CFA, FRM certificates).
Sincerely,
program manager David Ilyich Filippov,
Doctor of Economics, Professor of the Department of State and Municipal Finance,
Deputy Director of the Higher School of Finance
Features of the program content:
the program structure uses the experience of international reputable organizations CFA Institute (USA) (Chartered Financial Analyst) in the field of finance and investments) and GARP (USA) (Global Association of Risk Professionals) association of risk management professionals, certification in the field of management financial risks;
the content of the disciplines is adapted to the requirements of flexibility of modern management in the financial and investment sphere;
the share of specialized professional disciplines in the field of economics and financial and investment management dominates;
in-depth study of specialized English (reading specialized disciplines in English language of the group's choice, use of methodological and presentation materials in English language).
You also get the opportunity to:
- live communication with experts in the field of corporate finance, investments, risk management, business analytics, most of whom have international degrees CFA (Chartered Financial Analyst) and FRM (Financial Risk manager).
- creating a graduation business project for your company under the guidance of a consultant - practice.
Benefits of studying under the program
- Diploma of professional retraining from a prestigious economic university in Russia;
- Communication with business practitioners to exchange experience and partnership, participation in master classes;
- The best price-quality ratio on the Moscow business education market for similar programs;
- Small groups allow you to work through all the questions of the listeners and pay attention to everyone;
- System of discounts and step-by-step payment for training;
- The combination of elements of classical business education and online technologies, as well as a flexible lesson schedule, allows you to build a learning path for students involved in business;
- Studying in modern classrooms of the historical University building in the center of Moscow within walking distance from the Serpukhovskaya and Paveletskaya metro stations.
How to proceed
Requirements for students
Persons who have or are receiving higher/secondary vocational education are allowed to complete the program
Documents for admission
- A copy of a diploma of higher or secondary vocational education with an attachment or a certificate from the place of study (for students)
- Passport: 1 spread (photo), 2 spread (registration)
- SNILS
The program allows you to develop fundamental and systemic knowledge in the field of economics, finance and mathematical analysis, acquire skills in applying modern management technologies in financial sphere. Most teachers have international degrees CFA (Chartered Financial Analyst) and FRM (Financial Risk Manager).
Opportunity to join the Investment Banking alumni club with wide career opportunities.
Possibility of online support in case of business trips, quarantine and other circumstances that temporarily limit attendance to classes.
3
coursePh.D., FRM, CFA, certified risk manager (GARP), certified financial analyst (CFA Institute).
Economic theory (in English) language) (Module 1)
Financial accounting and analysis (in English) language) (Module 2)
Risk management (in English) language) (Module 3)
Quantitative analysis language) (Module 4)
Corporate finance (in English) language) (Module 5)
Derivative securities language) (Module 6)
Fixed income instruments language) (Module 7)
Mergers, acquisitions and private equity language) (Module 8)
Equity Investments language) (Module 9)
Alternative investments (in English) language) (Module 10)
Portfolio management language) (Module 11)
Behavioral finance and wealth management language) (Module 12)
VAR Consultation (Module 13)
Conducting final certification (Module 14)