We offer payment facilities at no extra cost to enable students to settle the amount during the course.
Eligibility requirements
BAC +3, Licence, Bachelor with 3 years professional experience
BAC +5, Master's degree, with 1 year's professional experience


Market Finance and Investment Management
Distance Learning MBA




The Market Finance and Investment Management program is designed to provide an in-depth understanding of financial markets and investment management strategies. It covers key topics such as financial instrument analysis, portfolio management, risk assessment and advanced investment strategies.
Through 8 modules of 12 hours each, plus an applied research project, participants will develop solid skills in asset management, diversification and financial decision-making. This course is aimed at finance professionals wishing to master the tools and techniques needed to optimize returns and effectively manage investment risk.
Acquire an in-depth understanding of key concepts in finance and risk management.
Develop analytical skills to assess financial performance and identify potential risks.
Master financial risk management tools and techniques, including derivatives and advanced valuation models.
Understand international financial regulations and their impact on financial institutions.
Strengthen the ability to develop portfolio management strategies and optimize investments.
Introduction to finance and risk management
Financial analysis and company valuation
Financial markets and derivatives
Credit and counterparty risk management
Operational and liquidity risk management
Financial regulations and compliance
Portfolio management and asset allocation
Practical projects and case studies
Applied research project

