Master's Degree in Applied Finance in Italy

View Masters Programs in Applied Finance in Italy 2017/2018

Applied Finance

A masters refers to the completion of a graduate study program that prepares students to further their knowledge of a specific subject or advance their careers. The majority of masters are granted by state or public universities.

The field of applied finance is the study of how various business models impact financial results. Studying applied finance may lead to employment with institutions such as those providing financial planning services, brokerage firms or commercial banking companies.

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 Programs in Applied Finance in Italy 2017/2018

Read More

Master in Management, Finance and International Business ( taught in Italian )

University Of Bergamo
Campus Full time 2 years October 2017 Italy Bergamo

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. [+]

Best Masters in Applied Finance in Italy 2017/2018. HOMESTUDYBACHELOR AND MASTER DEGREESMASTER'S DEGREE PROGRAMSMD MANAGEMENT, FINANCE AND INTERNATIONAL BUSINESS MD Management, Finance and International Business Master's degree program: Management, finanza e International Business / Management, Finance and International Business Class: LM-77 - Economics and Business Studies Students attending the Master of science in Management, Finance and International Business can choose between two curricula both taught in Italian and in English: Management, Leadership and Marketing (MLM) International Business and Finance (IBF) CURRICULUM IN MANAGEMENT, LEADERSHIP AND MARKETING (MLM): GENERAL INFORMATION For any further information about the curriculum in Management, Leadership and Marketing (MLM) you may contact prof. Daniela Andreini. OBJECTIVES 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. Management studies, organization studies, and marketing studies are the theoretical pillars of the program. These strong foundations give the program both conceptual rigor and practical validity, and also allow students to lay the foundations of their own career. Specifically the objective of the course is to develop three different streams of competences: multidisciplinary theoretical knowledge in management, economics, statistics and law competences and operative skills in management by analyzing problems that managers, and entrepreneurs must deal with behavioral skills, learned through training or hands-on learning. SUBJECTS First year Probability and Statistics for Business and Finance (advanced) Energy & Environmental Economics Markets and Companies Law (advanced) International Business and Trade Business... [-]

Master in Finance and Risk Management

University of Florence
Campus Full time 2 years October 2017 Italy Florence

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... [+]

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 financial services industry, such as trading, risk or asset management, or to work in specialized areas of an insurance company. The MSc in Finance and Risk Management aims at preparing students for high-level careers as risk and assets managers, actuaries, business specialists, quantitative analysts in insurance companies and consultancy firms. The students who complete the MSc in Finance and Risk Management are eligible to achieve professional status as an Actuary in Italy. Teachings of First year COMPUTATIONAL FINANCE CORPORATE FINANCE CORPORATE GOVERNANCE AND FINANCIAL INSTITUTIONS FINANCIAL STATEMENT ANALYSIS INTERNATIONAL AND FINANCIAL ECONOMICS QUANTITATIVE FINANCE AND DERIVATIVES QUANTITATIVE RISK MANAGEMENT Teachings of Second year ECONOMETRICS OF FINANCIAL MARKETS ENGLISH FOR BUSINESS AND FINANCE FINAL EXAMINATION FINANCIAL SERVICES AND MARKETS LAW INTERNSHIP MERGER AND ACQUISITION VALUATION PORTFOLIO CHOICE AND OPTIMIZATION PORTFOLIO CHOICE AND OPTIMIZATION - MOD.A RISK THEORY AND SOLVENCY MODELS RISK THEORY AND SOLVENCY MODELS - MOD.A WORKSHOP WORKSHOP WORKSHOP IN ACTUARIAL SCIENCE WORKSHOP IN CORPORATE FINANCE WORKSHOP IN ETHICAL FINANCE WORKSHOP IN FINANCIAL LAW WORKSHOP IN QUANTITATIVE FINANCE [-]