Courses are intended to be taken by those wishing to further their personal development. Whether you take the courses in a classroom or online, there are a variety of specialized study areas.
For students seeking a career in business or finance, applied finance may be the route to take. This subject deals in many different industry areas, such as capital markets, financial management, company valuation and foreign exchange markets.
Spain (Spanish: España) is a diverse country sharing the Iberian Peninsula with Portugal at the western end of the Mediterranean Sea. Spain is considered an exotic country in Europe due to its friendly inhabitants and relaxed lifestyle. The normal duration for University courses in Spain is 4 years, except Medicine and the double degrees, which are 6. Madrid and Barcelona are well known cities around world for its cuisine, vibrant nightlife, and world-famous folklore and festivities.
Top Courses in Applied Finance in Spain 2018
Cloister from different companies of Crowdfunding, Big Data, and banking entities: BBVA, Santander, Banco Sabadell and Citigroup. [+]
Cloister from different companies of Crowdfunding, Big DatDiscover the full potential of Digital Finance
It responds to the training needs in the digital finance sector, FINTECH, the spearhead of labor demands in the financial field for the coming years.
The Fintech sector is receiving much attention in recent times, given the potential of trends such as mobile payments, blockchain or crowdlending, and not only in Western countries but especially in developing markets. According to the World Economic Forum, the global business opportunity for the use of Fintech among SMEs is 2 trillion dollarsStart: April 2018 (3rd Edition) Duration: 150h Modality: On Friday to Saturday Teaching place: Madrid Degree: Advanced Program in Digital Finance. FINTECH To whom it May concern? ... [-]
The purpose of this course is to help managers gain a thorough understanding of what financial derivatives are, how they work, how they are used. [+]
The purpose of this course is to help financial managers, general managers, senior functional managers, and other nonfinancial managers gain a thorough understanding of what financial derivatives are, how they work, how they are used, and how to measure the risks and rewards associated with them.
While using and trading derivatives can add enormous value to a firm, a lack of understanding of risk management techniques can easily lead to disaster. It is, therefore, vital for financial and nonfinancial firms to be knowledgeable about the latest tools, tactics, and strategies for risk management.
You will leave this course with a solid and immediately useful understanding of:... [-]