A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.
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.
Europe, one of the world's seven continents, is usually known as the westernmost peninsula of Eurasia. Second smallest continent, with 10,180,000 (km2), the area regroups 50 countries.
View all Master Programs in Applied Finance in Europe 2017/2018
A broad range of multinationals and financial institutions (insurance companies, banks, …) require professionals in finance who have masters analytical and practical decision making. The program provides you with a sturdy background in analytical and practical decision making, management skills and a business attitude fit for functions in the financial sector. [+]
A broad range of multinationals and financial institutions (insurance companies, banks, …) require professionals in finance who have masters analytical and practical decision making.Why follow this program at Antwerp Management School?
The program provides you with a sturdy background in analytical and practical decision making, management skills and a business attitude fit for functions in the financial sector. It is possible to obtain a Dual Master Degree in Finance in the space of a single year. For 10 months, from September until June, you will be studying at the Antwerp Management School (in Belgium). After successfully completing this, you will be awarded the degree of “Master of Finance” from Antwerp Management School. Subsequently you can go to New York in July & August to take 3 financial courses at Fordham Graduate School of Business in the center of Manhattan. Successfully completing this course will yield the “Master of Science in Global Finance” degree from Fordham Graduate School of Business. ... [-]
The Management, Leadership and Marketing (MLM) program addresses management issues faced by organizations (large companies and small and medium enterprises), in order to compete in challenging markets, and overcome recession period. [+]
The Official Master's Degree in Financial Risk Management is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), through ICADE Business School. Its main aim is to provide specialized training oriented to professional roles in the field of risks. [+]
Master of Banking And Applied Finance [+]
The MSc in Finance and Risk Management (CLM FiRM) offers its prospective students an advanced education in finance and quantitative risk management. The course is a combination of economic theory for finance with mathematical methods (probability theory, statistics, numerical analysis) for finance and insurance. Graduates should be able to work as specialists in quantitative-oriented areas of the... [+]