Concentrations (choose one):
Capital Markets
Corporate Finance
Risk Management
Financial Accounting & Advisory
Derivative Analysis
Equity Finance
Risk Management Organisation
& Processes
M&A Accounting
Structured Products & Interest Rate Models
Debt Finance
Financial Supervision & Banking Regulation
Restructuring & Strategic
Management Accounting
Semester 3
Capital Markets
Corporate Finance
Risk Management
Financial Accounting & Advisory
Credit Risk, Default Models & Credit Derivatives
Debt Capital Markets
Credit Risk, Default Models & Credit Derivatives
Accounting & Decision-Making
Financial Engineering
Equity Capital Markets
Risk Modelling
Corporate Valuation
Asset Management
International Financial Management
Operational Risk, Liquidity Risk & Other Risks
Case Studies in Financial
Accounting Advisory
Elective 1
Responsible Management in Finance
Semester 4
Elective2
Elective3
Master’s Thesis
Study abroad option: You have the option to study at one of our international partner universities and use the credits from your study abroad to replace the elective modules in Semester 4.
Electives