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  • ‘Financial Markets Analysis’

    • Part-time
    • 2,5 years
    • RU
    • 200 000 RUB
  • Entrance exams

    • Economic Theory
    • Foreign language (English, Chinese, German, French, Spanish)

Program description

If you want to gain in-depth knowledge of financial technologies, we recommend continuing your studies at the online master’s program “Financial Markets Analysis”.

The program is aimed at training professional financial analysts in Russia who possess the methodology and tools for analyzing financial markets. This unique program combines two directions – economics and mathematics. Symbiosis of these scientific directions forms professional competences which are connected with qualified analysis of financial markets.

Our alumni are given the opportunity to pass qualification exams for financial market specialists and receive an appropriate qualification certificate. They undergo internships at the Moscow Exchange, in management and investment companies, in investment divisions of banks, etc.

Program managers

Panova Svetlana Anatolyevna

  • PhD in Economic Sciences, Doctor of Technical Sciences.
  • Professor
  • Head of the master's program “Financial Markets Analysis". Leading lecturer of the master's degree program “Financial Mathematics and Market Analysis". Authored a number of scientific publications.

Upon completion of the program, graduates will be able to

  • Develop theoretical and new econometric models of the studied processes, phenomena and objects related to the sphere of professional financial activity in the field of finance and credit.
  • Conduct research on the problems of financial stability of organizations, including financial and credit ones, to further develop effective methods for ensuring their functioning, taking into account the uncertainty factor.
  • Apply the theory of stochastic processes to the analysis and forecasting of financial markets.
  • Apply modern algorithms and methods to create mathematical models of the functioning of financial markets.
  • Identify and conduct a study of financial and economic risks in the activities of business entities to develop a risk management system.
  • Determine the policy and ensure the activities of the broker-dealer organization to implement its tasks in accordance with the requirements of the legislation of the Russian Federation, which regulates the financial market.

Key disciplines of the concentration

Commodity Market Analysis

Students obtain theoretical knowledge and practical skills of carrying out analysis of commodity markets.

Stock Market Analysis

Students obtain theoretical knowledge and practical skills of carrying out analysis of stock market and making investment decisions in stock and bond markets.

Financial Derivative Instruments: Market Analysis, Hedging and Arbitration

Students get knowledge of financial and organisational mechanisms of derivatives markets, quantitative and structural characteristics of the urgent market, and pricing models.

Foreign Exchange Market Analysis

Students obtain a complex of theoretical knowledge and practical skills of conducting analysis of the currency market and making investment decisions in working with foreign currencies and financial instruments nominated in a foreign currency.

Financial Engineering

This discipline forms knowledge and skills of designing complex financial risk management products and new financial instruments, and developing combined investment strategies.

Behavioural Finance

Students study theoretical foundations, basic concepts and terminology of behavioral finance, behavioral finance methods in conditions of anomalous events, and uncertainty of the market economy.

Career

Our graduates can choose different careers: from financial analysts to CFOs, independent financial advisors in the field of financial market analysis, and etc.

Our graduates receive an undeniable advantage in employment and wonderful prospects for their career growth.

Organizations where you can find a job

Unique advantages of the program

Students receive unique practice-oriented knowledge in the field of financial market analysis and management of organizations – the knowledge necessary for professional participants in the financial market

The strategic partners of the program are MOEX, NAUFOR, AUVER, management and investment companies.

Graduates of the program are given the opportunity to pass qualification exams for financial market specialists and receive an appropriate qualification certificate.

Our graduates undergo internships at the Moscow Exchange, in management and investment companies, in investment divisions of banks.

Experts in the field of financial market analysis are involved in the educational process.