Educads
Master's Degree Business & Management Full Time

MSc Financial Markets and Risk Management

at Grenoble Ecole de Management · France

Duration

1 an à 2 ans

Intake

Fall, Spring

Mode

Full Time

Tuition

On request

Campus

Grenoble, Paris

About this program

The MSc in Financial Markets and Risk Management at Grenoble Ecole de Management provides an advanced understanding of the financial environments within which businesses operate. The course delves into the intricate dynamics of financial markets, focusing on quantitative and qualitative risk assessment, portfolio management, and the analytical tools necessary for effective decision-making. Throughout the program, students gain expertise in modern financial instruments, risk management strategies, and regulatory frameworks that influence global financial behavior.

Structured to promote a combination of theoretical knowledge and practical application, the course is divided into modules covering fundamental topics, including investment analysis, derivatives, risk measurement, and financial modeling. The program encourages students to engage in case studies and simulations that mirror real-world financial scenarios, allowing them to apply their knowledge actively. Additionally, a strong emphasis on ethics and sustainability in finance prepares students to navigate complexities in ethical investment and corporate social responsibility.

By studying in France, students immerse themselves in a vibrant financial hub that offers unparalleled exposure to European financial markets. The course is taught by experienced faculty members and industry professionals who provide insights into current practices and innovations within the sector. Moreover, the opportunity to network with leading financial organizations through guest lectures and internships enhances the learning experience, ensuring that graduates are well-equipped to succeed in the global market.

Entry requirements

To be eligible for admission to the MSc in Financial Markets and Risk Management, candidates typically need to hold an undergraduate degree in finance, economics, business administration, or a related field. Motivation letters, academic transcripts, and CVs are often required as part of the application process. Some programs may also consider relevant professional experience or GMAT/GRE scores, particularly for candidates from non-traditional backgrounds.

English:

Students are generally expected to demonstrate proficiency in English through standardized tests such as IELTS or TOEFL. A typical IELTS score of 6.5 or above, or a TOEFL score of around 90-100, is commonly required. However, students should consult the university's official requirements for specific details.

International students:

International students must secure a student visa to study in France. This process involves submitting an application along with necessary documentation, including proof of acceptance to the university, passport details, financial statements, and health insurance. It is essential for prospective students to check the official immigration website for the most accurate and updated information regarding visa requirements.

Career outcomes

  • Risk Manager
  • Financial Analyst
  • Investment Consultant
  • Portfolio Manager
  • Quantitative Analyst
  • Compliance Officer
  • Corporate Finance Specialist
  • Treasury Analyst

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