Loading...

financial risk

Master en Finanzas.

Especialízate en las ÁREAS FINANCIERAS con mayor empleabilidad y accede a las principales CERTIFICACIONES INTERNACIONALES.

Solicita Información

Rellene este formulario para enviarnos cualquier consulta. En breve nos pondremos en contacto contigo.


I agree with the Terms & Conditions


Call Us
0307-567-890
Dirección
Plaza de Cervantes, 10
Alcalá de Henares - Madrid
Email de contacto

Blog financial risk

What are stochastic processes?

The objective of this article is to facilitate the understanding of stochastic processes, how they work, as well as their types and utilities. In this article, we will also focus on the study of stochastic processes related to finance and economics. This knowledge is taught in one, all this is taught in a master in Financial Risk Management.… Leer Más

What are Monte Carlo’s Methods?

When we developed all the concepts of quantitative finance and financial risk management, we were first assaulted by the question: What are Monte Carlo’s methods? Well, the time has come to develop this concept and how it can help us in our financial learning. Are you ready? Get ready to learn!… Leer Más

What do you do when you finish your business studies or Economics?

Have you finished or are you going to finish your studies in economics and are you worried about your future? Within the business and economic sector the specialization of its professionals is increasingly demanded due to the new and complex financial reality. Have you considered continuing your training with a master? Next, you will discover the alternatives and possibilities that a Master in Financial Risk Management offers you in your career.… Leer Más

Basic concepts about stock market that you should know

To finish perfecting our knowledge in Finance, we are going to give you some basics about the stock market. If you are interested or have always been struck by the world of the stock market, it is a good starting point. These are our most basic concepts to understand the stock market and know how to invest in it!… Leer Más

How to apply the Game Theory to the finance?

We have already analyzed what is Game Theory, a fundamental part that is taught in our Master in Quantitative Finance. Next, we will give you a detailed explanation of how this theory affects in particular. If you want to know more, check our Financial Risk blog or request more information on our website. Now, as far as we’re concerned, let’s investigate a little more about Game Theory!… Leer Más

What are econometrics and their applications?

In the study of quantitative finance and financial risk, it is essential to have notions about econometrics. Undoubtedly, it is one of the most important subjects of the economy, and we will know why. Today, having knowledge thanks to, for example, a master’s degree in econometrics, makes us a very interesting profile for the market. That means that our work possibilities multiply. But do you want to know more about econometrics and why is it so important? Follow us!… Leer Más
 Anterior  Todos Siguiente