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Finance.
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Finance.
First year (bachelor)
Second year (master 1)
- 4MMEVGP:FINANCE THEORY
3.0
36.0
- 4MMMF:FINANCIAL MARKETS
2.5
36.0
- 4MMPSAF:Stochastic Processes with application in Finance
3.0
54.0
- 4MMSM:Strategy and marketing
1.5
15.0
- 4MMDF:Financial diagnostic
1.5
15.0
Third year (master 2)
- 5MMMNAF:Advanced numerical methods in finance
1.75
18.0
- WMMF330:Credit Risk
1.875
18.0
- WMMM540:Time series for finance
1.875
18.0
- 5MMCPF:Parallel computing for financial applications
1.75
18.0
- 5MMPFTC:Principles of continuous time finance
2.0
24.0
- WMMF231:International Finance
1.875
18.0
- 5MMGDR1: Financial risk management I
1.75
18.0
- WMMM520:Advanced Monte Carlo methods
1.875
18.0
- 5MMCAW:Web-application building
3.5
36.0
- WMME210:ANACOB Project
1.875
18.0
- 5MMMSF:Statistical methods for finance
1.75
18.0
- WMMF221:Accounting for financial instruments
1.875
18.0
- WMMM110:Fianancial mathematical programmation project
3.75
33.0
- 5MMGDRF2:Dynamic Management of Financial Risk 2
1.75
18.0
- WMMM530:Monte-Carlo methods in financial engineering
1.875
18.0
- WMMMSF:FINANCIAL STATISTICAL METHODS
1.875
18.0
- WMMM511:Partial differential equations for finance
1.875
18.0
- WMMF311:Microstructure of Financial Markets
3.75
36.0
- WMMF211:BANKING MANAGEMENT
3.75
36.0
- 5MMCPA:Advanced parallel computing
1.75
18.0
- WMMS120:Simulation of project financial markets
1.875
18.0
- WMMS511:Real-time and heterogeneous data processing
3.75
36.0
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