master corporate finance

Estudia el máster en corporate finance de la Universidad de Alcalá y garantízate un futuro de éxito profesional.

Este estudio abordará todas aquellas actividades y decisiones relacionadas con la estrategia de una organización:

  1. Decisiones directivas: tanto operativas como financieras.
  2. Decisiones de financiación: obtención de fondos para que la empresa pueda invertir en los activos.
  3. Decisiones de inversión y desinversión: estudio de los activos en los que la organización debe invertir, y reorganizar lo necesario para conservar lo diferencial o estratégico.

La impartición de este máster en corporate finance pretende proporcionar a su alumnado un conjunto de competencias (generales, específicas y transversales), habilidades y destrezas que le permitan desenvolverse de la forma más adecuada como profesionales de las finanzas corporativas y la dirección financiera.

Master in Financial Risk Management.

Specialize in the most employability FINANCIAL AREAS and access to the main INTERNATIONAL CERTIFICATIONS.

Request Information

Fill this form to send us any query. We will contact you shortly.

I agree with the Terms & Conditions

Plaza de Cervantes, 10
Alcalá de Henares - Madrid

Blog master corporate finance

The rise of risk management services in Korea

Nowadays every organization and business needs a risk management strategy if it wants to succeed. Every country is looking for experts in this area in order to improve their methods and strategies. For example, Korea is now getting introduced to this methodology. Are you interested in Financial Risk? Do you want to know more about this topic? Then, do not miss our next article. … Leer Más

The Financial Risk of Tesla

Did you know about the financial risk situation Tesla is living? Read our new article and find out what is happening within this automotive company.

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

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
 Anterior  Todos Siguiente