MSc in Finance in Italy

Find MSc Programs in Finance in Italy 2018

Finance

A Master of Science, or a Master’s degree in Science is an academic degree delivered by Universities in many countries. A Master of Science is a popular choice after completing a Bachelor’s degree.

Finance is the study of money management, and includes everything from personal savings management to accounting to investment banking. A finance student may choose to specialize in a subfield like retirement planning or business investments, or might keep their education general with a survey of all areas of finance.

Italy, officially the Italian Republic, is a unitary parliamentary republic within the European Union, located in Southern Europe. To the north, it borders France, Switzerland, Austria, and Slovenia along the Alps.

Top Master of Science Programs in Finance in Italy 2018

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Master of Science in Finance and Economics

University of Milan
Campus Full time 2 years October 2018 Italy Milan

Finance and Economics is an exclusive master program aimed at providing an excellent academic background and a practical sense of today's financial markets and international economy. [+]

Course Objectives and Structure

Finance and Economics is an exclusive master program aimed at providing an excellent academic background and a practical sense of today's financial markets and international economy.

The Master degree in Finance and Economics is a genuinely multidisciplinary program, offering a well-balanced set of courses in economics and finance supported by several quantitative courses.

Graduates of this master course will receive advanced training on quantitative methodologies and tools suitable to interpret and analyze the economic and financial phenomena and to operate directly on financial markets or in international economic institutions. The study program is designed to provide the students with solid background through the development of topics of economic theory, analysis of international financial markets and the theory of decision making under uncertainty. It includes study of financial markets from both the point of view of international law, history and economics.... [-]


Master of Science in Finance and Risk Management Program (FRIM)

University of Parma
Campus Full time 2 years October 2018 Italy Parma

The second cycle degree in Finance and Risk Management (FRIM) is designed to produce experts in the management of financial products and portfolios, in analysis and management of banking and financial risk and, more generally, of corporate economic risk, in management of financial institutions, and in analysis and management of insurance risk. [+]

Official Program Description

The Master of Science in Finance and Risk Management (FRIM) Program is designed to produce experts in the management of financial products and portfolios, in analysis and management of banking and financial risk and, more generally, of corporate economic risk, in management of financial institutions, and in analysis and management of insurance risk.

Graduates in Finance and Risk Management (FRIM):

acquire a thorough knowledge of mathematical calculation tools applied to the economy of financial products and markets, finance, and insurance as well as specialized knowledge of company risk models employed by banking, financial and insurance analysts; in addition, they gain statistical knowledge that enables them to process data and estimate economic relationships; acquire the knowledge and understanding necessary to apply such methodologies and tools to the field of finance in terms of analysis of international scenarios, implementation of decision models in financial markets and in company management, and analysis and development of the management processes typical of the different categories of financial intermediaries; develop the capacity for independent judgment regarding issues of company financial management and risk management and the modeling of financial markets, thus being able to efficiently interpret and process the information and data acquired; develop the ability to communicate, both within companies and to a non-specialized public, information about the performance of financial markets, the use of alternative financial tools and banking and insurance risk management; acquire the ability to organize independently the life-long learning process now required by professions because of the changed... [-]

Master in Finance

European School of Economics
Campus Full time 12 - 15  Open Enrollment Italy Rome Milan Florence + 2 more

The Master in Finance prepares fund managers and professional investment analysts for entrance into the banking and finance sector. The course examines the principles of financing and investment decisions and their impact across a broad range of contemporary management concerns. [+]

The Master in Finance prepares fund managers and professional investment analysts for entrance into the banking and finance sector. The course examines the principles of financing and investment decisions and their impact across a broad range of contemporary management concerns.

As part of the Finance specialisation, master students explore:

• classical and contemporary corporate financing approaches with respect to multinational firms in developed and developing markets

• the viability and appropriateness of a corporate mergers or acquisitions through evaluation and analysis

• value assessment and enterprise value

• risk management and different theories and approaches for the multinational enterprise... [-]


M.Sc. in Banking and Finance (Milan campus)

Università Cattolica del Sacro Cuore (UCSC)
Campus Full time 2 years October 2018 Italy Milan Rome Piacenza Cremona + 3 more

The program is designed for students wishing to concentrate their career in financial markets and institutions. The program provides advanced training in the key areas of securities trading and risk management. A significant feature is the combination of strong analytical foundation and applications to real-world issues... [+]

The program is designed for students wishing to concentrate their career in financial markets and institutions. The program provides advanced training in the key areas of securities trading and risk management. A significant feature is the combination of strong analytical foundation and applications to real-world issues.

Learning objectives

Students will learn to integrate financial models, firm-specific as well as industry and economic factors in their decision-making process. Students have access to meetings with highly qualified speakers from the financial industry, internship programs in major Italian and international financial institutions, exchange programs in European and US universities.... [-]


MSc in Civil Engineering for Risk Mitigation

Politecnico di Milano
Campus Full time 2 years October 2018 Italy Lecco Milan + 1 more

The programme links the fundamental disciplines of Civil Engineering (design and construction of civil and environmental structures and infrastructures) with a broad overview of the most advanced Risk Management tools, with particular attention to forecasting and prevention issues concerning structures and infrastructures and soil, on which they are built or embedded, due to natural and anthropic causes. [+]

Mission and Goals

This programme offers a synthesis of the fundamental and most advanced civil engineering tools for Risk Management, integrated by competences in different areas (land use planning, economics and finance, communication, law, psychology). Graduates in C.E.R.M. deal with the design of structures and of infrastructures, with planning, control and management of town and of land systems, and they are able to evaluate the environmental impact of structures and of infrastructures. The programme is taught in English. For more information: www.master-cerm.polimi.it

Eligible students

Students holding a Bachelor Degree in Engineering, Architecture or Land Use Planning are eligible for application. ... [-]