Finance, Risk Management and Insurance
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Risk Analysis and Management
Ranked as the best in Portugal and 2nd best in the World, by Eduniversal Masters Ranking 2021
The Postgraduate Program and Master Degree Program specialization in Risk Analysis and Management aim to train technical and management staff to be able to identify, quantify and manage the risks of financial institutions, and make decisions, according to the capital requirements established by Solvency II and Basel III.
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Data Science for Finance
The Postgraduate Program in Data Science for Finance is an innovative program targeted to professionals in financial sector looking for a more analytical approach to financial asset valuation, trading, risk management, financial engineering, predictive models, financial computing, among others.
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Financial and Budgetary Management and Control
The Postgraduate Program in Financial and Budgetary Management and Control will provide its participants a set of skills in financial management and control, enabling the development of new strategies for managing information relevant to perform roles in the financial and budgetary sectors.
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Financial Markets and Risks
The Postgraduate Program of Financial Markets and Risks aims to provide staff in finances a specialized training in the creation, analysis and assessment of financial instruments, with a particular focus on derivatives, and the identification and implementation of integrated technical analysis and management of assets, liabilities and financial risks.
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Law and Financial Markets
This Master degree program in Law and Financial Markets aims to provide Law graduates a comprehensive and specialized training that enables them to enter into legal research, to embrace a legal profession in banking, insurance or capital markets.