First semester
Foreign exchange and money markets
Financial Derivatives
Financial assets portfolio management
Fundamentals of econometrics
Macroeconomics
Economic dynamics
Second semester
Bank asset liability management
Corporate finance
Stochastic calculus in finance
Optimization of financial and monetary decisions
Econometrics
Monetary macroeconomics
Third semester
Risk management in finance and banking
Interest rate derivatives
Financial Microeconomics
Econometrics of financial markets
International Finance
Economic Systemics
Forth semester
Research seminars
Internship
Defending the master dissertation
Academia de Studii Economice din Bucuresti
Academia de Studii Economice din Bucuresti
Academia de Studii Economice din Bucuresti
Universitatea "Babes-Bolyai" din Cluj-Napoca
Universitatea "Babes-Bolyai" din Cluj-Napoca