• ‘Financial Markets Analysis’

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

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

The Program "Financial Markets Analysis" is aimed at training highly professional financial analysts in Russia who know the methodology for analysing 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.

We offer brand new online courses, new forms of independent academic work and new forms of controlling educational results. This program is implemented through using distance learning technologies. In the process of studying mandatory disciplines of the program, students are offered interactive and computer technologies. The use of "network" technologies allows to create a system of training financial analysts, sharply expand the geography of training, and also to improve its quality through development of practical competences in the course of training.

Main disciplines

  • 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.


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.