Navigation auf uzh.ch

Suche

Portfolio Management Program, Department of Banking and Finance

Prospective students

no text

We aim to attract students who have already acquired some fundamental knowledge in finance, in particular in the field of portfolio management. However, we do welcome applications from students from other fields who wish to deepen their understanding of finance.

The Portfolio Management Program is a two-year commitment.  We offer this unique opportunity to students who are interested in going the extra mile to obtain practical experience.

We will therefore favour first-year Master students, but also encourage Bachelor students in their final semesters to apply. In addition to technical qualifications, good communication skills and the willingness to be a team player are vital for this course.

We expect from the participants:

  • Passing the written exams for the courses "Asset Management: Advanced Investments" and "Matlab for Portfolio Management"
  • A written team research report following Portfolio Management Theory II
  • Completion of the BMC - Bloomberg Market Concepts
  • Participation at monthly meetings, expert talks, and presentations
  • Preparation of monthly portfolio reports
  • Ongoing market research and supervision of the portfolio