Master's in Applied Finance in Spain

View Masters Programs in Applied Finance in Spain 2017/2018

Applied Finance

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.

The study of applied finance examines business models in relation to their financial goals. There are a variety of focuses in the field, which range from business financial management to personal investment portfolios. Mathematics and statistics feature highly in this academic program.

Spain, officially the Kingdom of Spain, is a sovereign state and a member state of the European Union. It is located on the Iberian Peninsula in southwestern Europe. Spanish universities regulate access to their own degrees and they fix the academic fees. They can also offer unofficial postgraduate degrees. The capital city Madrid has possibly the largest number of bars per capita of any European city and a very active nightlife.

Top Master Programs in Applied Finance in Spain 2017/2018

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Master's Degree in Financial Risk Management (MUGRF)

Universidad Pontificia Comillas
Campus Full time 1 year October 2017 Spain Madrid

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. [+]

Best Masters in Applied Finance in Spain 2017/2018. Master's Degree in Financial Risk Management (MUGRF) 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. This Master's program is taught on a full-time basis and structured into four modules. The first one encompasses core training aimed at gaining a thorough understanding of the theoretical background necessary to work as a financial risk manager. The second one provides the students with specialized knowledge that is specific to the field. The third and fourth modules cover the Master's dissertation and the in-company internship in the sector, respectively. Admission APPLICANT PROFILE This MasterĀ“s degree is aimed at university graduates who wish to focus their career on the financial sector, gaining specialized and up-to-date training in financial risk management. This training will provide high added value to those who go on to work in financial institutions, consultancy firms, in the insurance sector and the most regulated sectors, such as energy or telecommunications. It is both suitable for students who have recently finished their studies and those who have professional experience and wish to add this specialist training to their CV. The abilities largely required by the student are maturity and analytical skills. The attitudes required are motivation, a commitment to work and an appreciation of ethical values. The MasterĀ“s program... [-]