Masters in Banking: Risks and Markets

2 Years On Campus Masters Program

University of Limoges

Program Overview

The Master in Banking: Risks and Markets aims to provide solid training in the field of financial risk analysis and management. Its objective is to train high-level economists who master the theoretical and technical tools inherent in banking and financial economics, in particular in the analysis and management of financial risks, economic analysis and forecasting, valuation of assets and investment projects.

Program Key Stats

€3770 (Annual Cost)



Eligibility Criteria


Additional Information & Requirements

Career Options

  • Risk manager
  • Financial analyst
  • Bank branch manager
  • Portfolio manager
  • Researcher and economist

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