Se former à l’analyse financière : une compétence essentielle pour piloter la performance
Les clés pour se former à l’analyse financière et renforcer son diagnostic de performance
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Les clés pour se former à l’analyse financière et renforcer son diagnostic de performance
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The energy transition has become a key issue for 21st-century economies. Decarbonizing energy production, modernizing networks, and accelerating the development of renewable energies require massive investments, estimated at several trillion dollars by 2050. Faced with this reality, one player is gradually emerging as the discreet but decisive driver of this transformation: infrastructure funds.
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Often overshadowed by private equity and investment banking, private debt is now one of the most dynamic segments of global finance. Driven by the transformation of corporate financing since the 2008 crisis, it is attracting more and more funds, institutional investors, and young talent.
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Long overshadowed by private equity, family offices are now playing an increasingly important role in the investment world. These structures, created to manage the assets of large family fortunes, have evolved over time into major players in private equity, capable of competing with the most reputable funds. Their strength lies in their flexibility, long-term vision, and strategic freedom, three assets that appeal to both entrepreneurs and young
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In the hushed world of high finance, few people manage to embody both the rigor of an investment banker and the creativity of an artist. David Solomon, current CEO of Goldman Sachs, is a perfect example. Known for his direct management style, keen sense of risk, and unexpected passion for electronic music, Solomon has transformed the image of an institution sometimes perceived as rigid into a group focused on innovation and social responsibility.
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Larry Fink is a key figure in global finance. As co-founder, chairman, and CEO of BlackRock, he leads the world's largest asset manager, while promoting a vision of finance aligned with environmental, social, and governance (ESG) issues. His journey, from his humble beginnings in Los Angeles to the head of a global group, is a source of inspiration for finance students.
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Finance, long perceived as a purely economic driver, is now establishing itself as a key player in the ecological transition. Faced with the climate emergency and growing pressure from institutional investors, a new asset class has emerged: green bonds. Their objective is simple: to finance projects with a positive environmental impact, while offering investors a return comparable to that of traditional bonds.
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In the finance sector, your resume is often your first “transaction” with a recruiter: it must convince them in a matter of seconds that you deserve to be selected from among dozens, even hundreds, of candidates. In a world where numbers, deadlines, and details matter, the slightest mistake can hinder your application.
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In a world where currency fluctuations can make or break a company's profitability, multinationals must master the complex art of currency risk hedging. With the US dollar experiencing record volatility of 15% against the euro between 2022 and 2024, and the Japanese yen falling 30% against the dollar over the same period, currency management has become a major strategic issue.
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