Enrolment options

This course provides an in-depth introduction to Quantitative Asset Management, combining financial theory, econometric modeling, and data-driven investment strategies.

Chemin ROF:
/École d'économie de la Sorbonne/Master 2 Professionnel Banque - Finance/Semestre 4/UE1 Spécialisation (8 matières au choix)/Quantitative asset management
Chemin ROFid:
/02/UP1-PROG-02-MPB50C-125/UP1-PROG-ELP-B5PCS425/UP1-C-ELP-B5EPC225/UP1-C-ELP-B5PC0425
Code Apogée: B5PC0425
Composante: École d'économie de la Sorbonne
Semestre: 4
Niveau: M2
Niveau LMDA: Masters
Niveau année: 5
Composition: Cours magistral
Diplôme: Master 2 Professionnel Banque - Finance
Domaine ROF: [Sciences économiques] Sciences économiques
Type ROF: [M2]
Nature ROF: [5] BAC+5
Cycle ROF: [2]
Rythme ROF: [Initiale] initiale
Langue: []
Mention: Monnaie, banque, finance, assurance
Spécialité: Banque - Finance
Approbateur proposé Id: 68903
Approbateur effectif Id: 68903
Date validation: Sunday, 11 January 2026, 3:04 PM
Url fixe: Asset_Management_BF26
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