The main purpose of the programme is to train highly professional financiers who possess technological knowledge, methodology and all the necessary tools for making investment and financial decisions in global and national financial markets. Our graduates will be competent in risk management, portfolio and fiduciary asset management. Graduates will be also capable of developing complex financial products, analyzing financial anomalies, evaluating financial assets and companies and building investment strategies. Students acquire skills in using software products for working with Big Data (SQL, Metastock) and development environment (R, Python and others), professional analytical databases. Our graduates know how to analyse different aspects of a firms policy for attracting capital, investments, dividends, buying shares.
Graduates will be ready to work in Russian and international companies. In order to help them glide easily into work, besides studying the theory, the course puts a strong emphasis on developing practical skills. The students have direct contact with potential employers through regular meetings with business people.