Career opportunities
Trader, broker, sales analyst, risk manager, financial analyst, asset manager, portfolio manager, investment advisory, financial consultant, investment banker, ECM & DCM, private wealth management, private equity.
Why choose this programme?
- Highly international classes allow students to build fruitful inter-cultural relationships.
- Classes are taught by professors who have solid academic backgrounds and professional experience in industry.
- Teaching emphasises a hands-on, problem-solving approach that allows graduates to work productively from their first day of work.
- The programme is developed constantly to ensure its relevance to job requirements in a shifting market. Classes are also complemented by talks given by full time, high-calibre practitioners and finance tracks
- Strong links with alumni who have reached top positions around the world.
- Throughout the year, students develop professional contacts, get access to information from a variety of sources, and learn from each other. The highly international make-up of classes makes it very easy to create a global network of friends and colleagues.
- Use of the Bloomberg terminals and simulation games delivers reality-based training
One programme, three locations, four specialisations
Regarding the increasing complexity of market finance, we offer common fundamentals and five different specialisations spread over the three campuses:
- Trading, Structuring and Portfolio Management in Sophia Antipolis,
- Asset Management in Paris
- Investment Banking in Paris,
- Financial Analysis and the CFA® preparation track in Raleigh + OPT visa to insert in US/Wall Street
The classes are built on a diversity of student backgrounds and professional experiences. Highly international classes reflect the reality of working in today’s global business environment.
The teaching is provided by a subtle mix of prestigious practitioners and our international faculty members who have both strong academic and professional experience

PG
2 Years