Université Paris- Dauphine
Place du Mal de Lattre de Tassigny
75775 Paris cedex 16
+33 (0)1 72 60 52 34
The Master of Science Financial Markets can be completed in one year (Master 2) or in two years (Master 1 and 2).
The curriculum is designed as following:
The curriculum of the Master of Science Financial Markets is designed to balance academic and practical skills regarding the following intended learning outcomes:
Derivative Pricing and Stochastics Calculus 1 & 2, Financial Econometrics 1 & 2, Machine learning, Risk Management, Applied Time series, Computational Finance, Energy derivatives
VBA programming, C++ programming, Python programming, Machine Learning in finance, Numerical Finance
Investments & Financial Markets, International Finance, Equities, Fixed Income 1 & 2, Financial derivatives, Financial Markets & the Economy, Exotic options and structured products, Advanced Asset Management, Credit Risk, Commodities,Volatility Trading Strategies
Corporate Finance, Sustainable Finance, Electronic Markets, Geopolitics of Energy, Ethics, Compliance & Professional Standards, Behavioral Finance, Alternative Finance, Mergers & Acquisitions, Regulation and Financial Markets
Careers in Finance, Preparation for interviews in Finance, soft skills
Master thesis, Individual projects in many courses
Recruitment after graduation is very successfull thanks to the worldwide reputation of the MSc. finance (203 - Financial Markets, see our worldwide ranking), to the corporate partners implication, and the preparation during the 2 years of the program.
The statistics for the Class of 2018 are reporting 100% having accepted a job offer within three month of graduation and 86% working abroad with an average gross annual salary of 67K€.