Masters Program in Economic Studies in Europe

View Masters Programs in Economic Studies in Europe 2018/2019

Economic Studies

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.

Economics and administration is a fusion of many different disciplines. Professionals are trained in business, macro and micro economics, finance, public policy and other topics to help them analyze and understand the national or global financial picture.

In all, there are over 4000 Higher Education Institutions in Europe offering a wide range of courses at Bachelor, Masters and Doctorate level. With more and more of these organizations offering English as the language of education for at least some of their degree programs, universities in Europe are now of higher quality than ever before. Universities in Europe offer a friendly welcome to foreign students and to give a course of knowledge that meets their profession needs in today’s global demand.

View all Master Programs in Economic Studies in Europe 2018/2019

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MScF in International Finance

Geneva Business School (GBS)
Campus Full time 18 months September 2019 Switzerland Geneva Spain Barcelona + 2 more

The Master of Science in Finance with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. [+]

The Master of Science in Finance (MSc.F) with a major in International Finance is designed to challenge and develop your understanding of global finance through rigorous training in the conceptual, analytical and empirical intricacies of modern international finance and investment. You will understand the macroeconomic forces that shape the world today, how to assess risk and respond to emerging finance and investment challenges.

Over the course of the program students will: Acquire knowledge of international taxation and estate planning. Learn risk management and gain an in-depth knowledge of insurance companies. Be able to perform a Technical Analysis. Be familiar with Hedge Fund analysis and management. Explore financial statement analysis for executives. Facts Duration: 18 months Credits: 90 ECTS Language: English Intakes: February and September Degree Awarded: Master of Science Major in International Finance Transfer Opportunities: We offer our students the option to transfer for a semester between our Geneva and Barcelona campuses Internships: We provide the access to internship opportunities in international companies and organizations Program ... [-]

Master’s Programme in Banking and Finance

University of St.Gallen (HSG), School of Management, Economics, Law, Social Sciences and International Affairs
Campus Full time 18 months September 2019 Switzerland St. Gallen

With a challenging curriculum, the Master’s Programme in Banking and Finance (MBF) is one of the leading international finance programmes. A top-tier international faculty in the fields of Financial Markets, Financial Institutions, Corporate Finance and Quantitative Methods offers high-quality education in both theory and application. With its 6th place in the global Financial Times Masters in Finance Ranking 2018, the MBF programme has been ranked among the top finance programmes for six years in a row and ranks number one in Switzerland and in the German-speaking world. [+]

With a challenging curriculum, the Master’s Programme in Banking and Finance (MBF) is one of the leading international finance programmes. It ranked 6th in the Financial Times Ranking 2018. In the fields of Financial Markets, Financial Institutions, Corporate Finance and Quantitative Methods, the programme offers high-quality education in both theory and application. It is designed to train our students in the critical reflection of various concepts and approaches prevailing in financial theory and practice. Educational goals The programme’s educational goals encompass three dimensions: 1. Functional dimension An understanding of the function and importance of financial intermediation in the context of the present and future development of economic systems and its integration in the social, legal and political sphere. 2. Instrumental dimension Knowledge of the theory and application of financial markets, characteristics and implementation of modern financial instruments, and the core functions of modern financial management. 3. Institutional dimension Knowledge of the core functions of planning, steering and supervision of financial institutions and their strategic business units. CFA & CAIA programme partnerships The MBF programme is an official programme partner of the CFA Institute and the CAIA Association. The MBF programme covers more than 70 % of the candidate body of knowledge for all three levels of the CFA programme. These partnerships enable the MBF to award CFA and CAIA fellowships each year to outstanding MBF students who embark on the programme. Curriculum: contents and structure The MBF programme has a clear and flexible structure. The core studies are made up... [-]

MA in Entrepreneurial Risk Management

Magdeburg-Stendal University of Applied Sciences
Campus Full time 4 semesters October 2018 Germany Magdeburg

The Master’s course in Entrepreneurial Risk Management enables students with a business-related Bachelor’s degree (business administration, economics or industrial engineering) to continue their studies by consolidating and expanding their knowledge in the area of risk management. The objective of the course is to deal with functions such as risk prevention, analysis and control, all of which arise in connection with risk management. [+]

No restricted admission. Start of studies The programme begins each winter semester. Applicants with foreign certificates please apply until 31 July via uni-assist e.V.. Programme objectives

The Master’s course in Entrepreneurial Risk Management enables students with a business-related Bachelor’s degree (business administration, economics or industrial engineering) to continue their studies by consolidating and expanding their knowledge in the area of risk management. The objective of the course is to deal with functions such as risk prevention, analysis and control, all of which arise in connection with risk management. The specialist risk management knowledge is communicated in an interdisciplinary manner. Students will acquire competencies in the relevant operational areas of organisations and management.... [-]


Master in International & Sustainable Finance

Business School Lausanne
Campus 18 months February 2019 Switzerland Lausanne

The BSL Master in International and Sustainable Finance (MISF) is a new generation of a master’s program that facilitates a rigorous exploration of finance for a sustainable world. [+]

Program Overview

The BSL Master in International and Sustainable Finance (MISF) is a new generation of a master’s program that facilitates a rigorous exploration of finance for a sustainable world.

You will explore the interdependence between finance and sustainability and will be exposed to the latest thinking on the shared economy, social value, sustainable investing, micro-crediting, and other models beyond finance as usual. You will develop rigorous finance skills and know-how that are valued globally by taking the preparatory courses for the CFA® Level I exam. The CFA® is known as the top professional qualification for finance and investment professionals. You will explore your leadership capacity and will be encouraged to develop the skills and sensibilities for making a meaningful difference in the world. Why Sustainable Finance? ... [-]

Masters in Business Analytics

Hult International Business School
Campus Full time 1 year August 2019 USA San Francisco United Kingdom London Cambridge United Arab Emirates Dubai China Shanghai New York Boston + 9 more

As the role of big data becomes increasingly important, a one-year Hult Master of Business Analytics degree equips you with the analytical and business capability to translate data statistics and analysis into action. [+]

This program is only available as a second part of the Dual Degree Program after students have completed One-year MBA or Masters of International Business. It will be available as a full-time one-year program in San Francisco for the September 2018 start term. Learn how to translate big data and analysis into action—and qualify for a 3-year O.P.T. working visa in the U.S. As the role of big data becomes increasingly important, a one-year Hult Master of Business Analytics degree equips you with the analytical and business capability to translate data statistics and analysis into action.

Locations

Start your Master of Business Analytics in San Francisco, then choose to take electives at any other two campuses as part of Hult's unique Global Campus Rotation.... [-]


Master in Managerial Economics

University of Wroclaw - Faculty of Law, Administration and Economics
Campus Full time 2 years October 2018 Poland Wrocław

The master's degree is designed for students who expect to pursue a managerial career in business in their home country or abroad. The program provides economic skills and competencies necessary to deal with the management challenges of increasing complexity in the modern economy. [+]

Master in Managerial Economics

This two-year program presumes prior bachelor's level knowledge in economics. The master's degree is designed for students who expect to pursue a managerial career in business in their home country or abroad.

The program provides economic skills and competencies necessary to deal with the management challenges of increasing complexity in the modern economy. Courses cover both traditional and emerging economic fields, including microeconomics, managerial economics, marketing, innovation management, accounting, capital market, competition, industrial and tax policy. The program also includes the problems of international economics and business management on the Global and European Single Market.... [-]


Master in Finance

EU Business School
Campus Full time 1 year January 2019 Spain Barcelona

As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. [+]

New financial paradigms are emerging. With new regulations and a shift in ethical thinking, the ability to understand and decipher the ever-growing complexity of the world of finance is a quality that is more important than ever before.

As an applied branch of economics, this program explores challenging technical theory and a wide range of topics, including asset pricing, portfolio management, derivative securities and blockchain fundamentals. From its foundations to its future of finance, you will gain a balanced understanding of one of the most crucial aspects of a business.

How You Earn Your Certificate

The Master in Finance (60 ECTS) is a one-year program, divided into three terms. Each term comprises four courses (4 ECTS each) and one seminar (2 ECTS). Throughout the year, students are also exposed to real-life case studies, games and business simulations. In order to graduate, participants must also complete a business plan (6 ECTS).... [-]


Master Degree in Economics

University Of Zagreb Faculty of Economics and Business
Campus 1 year November 2018 Croatia Zagreb

Master Degree in Economics (MDIE) is a 1-year graduate study program, fully taught in English and introduced in the academic year 2018/2019. [+]

About Within this study program, students are presented with the latest scientific, professional and practical achievements in the application of economic analysis from the micro- and macroeconomic point of view. High quality macroeconomic analytical skills are essential for the designing of effective economic policies in the globally integrated economic environment. Specialization in economic analysis enables students to acquire knowledge in the area of qualitative and quantitative analysis, and advanced knowledge of econometric and mathematical methods and models Who can apply? The study program is open to Croatian and international applicants (240 ECTS is a prerequisite for enrollment procedure). What is the duration of the study? The standard period of study is one academic year (2 semesters). When do the classes begin? Beginning of the classes: November 5th, 2018. What is the application deadline? Applications are open from October 1st to October 11th, 2018. How to apply? The application process consists of two parts: Online pre-registration - At the beginning of October there will be a link on the Faculty main website as well as here at the MDIE program website which you will use to pre-register for the program. Enclosure of all necessary documents - After pre-registration, you will need to bring the necessary documents to the Faculty registration office which include your birth certificate, certificate of citizenship, passport (or ID card for EU citizens), your undergraduate diploma, undergraduate course transcript with grades certified by the organization where you obtained it, and the proof that you paid the enrollment fee.... [-]

Master in Insurance & Risk Management

MIB Trieste School of Management
Campus Full time 12 months October 2018 Italy Trieste

The Master Degree is a stimulating and complete master program (full-time, 12 months), providing competencies to advance the career in Insurance, Consultancy & Risk Management. [+]

Master in Insurance & Risk Management

The Master Degree in Insurance & Risk Management is a stimulating and complete master program (full-time, 12 months), providing the managerial and technical competencies to advance the career in insurance, risk management, finance and consulting.The Master has been developed with the direct support of company leaders in Insurance, Finance, and Consulting (Allianz, Generali, KPMG, EY, etc), contributing to its realization from a selection of candidates to defining the curriculum and job placement.

CareersAreas of employment: Insurance, Consulting, Business Advisory, Financial Services, Banking, Risk Management.

Professional Roles: Risk Manager, Underwriter, Actuary, Consultant & Advisor, Financial Analyst, Internal Auditor, Business Analyst.... [-]


Master in International Finance

Financial University under the Government of the Russian Federation
Campus Full time 2 years September 2019 Russia Moscow

The International Finance Faculty (MFF) provides training for bachelors and masters in the field of preparation "Economics". Upon completion of the training, students receive a diploma of the state standard of the Finance University under the Government of the Russian Federation, and also have the opportunity to obtain a diploma from one of the prestigious Western partner universities. [+]

The International Finance Faculty (MFF) provides training for bachelors and masters in the field of preparation "Economics". Upon completion of the training, students receive a diploma of the state standard of the Finance University under the Government of the Russian Federation, and also have the opportunity to obtain a diploma from one of the prestigious Western partner universities.

IFP prepares students of the faculty for professional work in the financial and economic divisions of organizations of various industries and forms of ownership, in state bodies in posts requiring basic higher economic education. The graduate of the faculty will be able to carry out analytical, organizational (administrative) and educational (teaching) activities in the following areas of the economy: functioning markets, financial and information flows, production and research processes carried out at enterprises (firms) of any form of ownership, in educational, research and other organizations, as well as within the government.... [-]


Master in Investment Strategy and Internationalization

ISG Business & Economics School
Campus Part time 2 years October 2018 Portugal Lisbon

The Master's Degree course in Investment Strategy and Internationalisation is an innovative course in the international panorama and has been designed for graduate degree holders of different areas who want advanced and in-depth knowledge of International Management. Competencies obtained are nuclear for the practice of management, which is increasingly international and global... [+]

The Master's Degree course in Investment Strategy and Internationalisation is an innovative course in the international panorama and has been designed for graduate degree holders of different areas who want advanced and in-depth knowledge of International Management. Competencies obtained are nuclear for the practice of management, which is increasingly international and global.

The globalisation of world commerce, communications, financial markets and transports has given birth to a new world order, which can be seen reflected in the way companies are managed.

Objectives

The Master's course aims for the development of technical competencies and behavioural competencies appropriate for business management and to be able to meet challenges posed by international companies. In addition, the course ensures a preparation for its students which is focused on all aspects related to a borderless world of business management.... [-]


UK-China Master of Finance

Peking University HSBC Business School (PHBS)
Campus Full time 2 years September 2019 China Shenzhen United Kingdom Witney + 2 more

2 years cross-border Master of Finance: one year in the UK, one year in China (Shenzhen). [+]

Peking University HSBC Business School, one of the most promising business schools in China, is proud of its accomplishments in the area of graduate education. With its main campus located in the thriving and entrepreneurial city of Shenzhen, China, PHBS has taken a bold step by opening a new campus in Boar’s Hill, England, three miles south of Oxford City.

PHBS UK-China Master of Finance is a two year, full-time and cross-border, programme in which students spend the first year at our UK campus, and the second year at our Shenzhen Campus, in China. The programme is a great opportunity for students to, not only have a specialist training and cross-disciplinary coursework, but also a multi-country experience and in-depth cross-cultural exposure.... [-]


Master in Economics

ESOMAS, University of Turin
Campus Full time 2 years September 2019 Italy Turin

Consulting firms, regulatory bodies, large manufacturing and financial firms rely on both strategic thinking and sound measurement of business trends. This program combines training in economics and in advanced quantitative techniques. [+]

Two-year Masters Course

Consulting firms, regulatory bodies, large manufacturing and financial firms rely on both strategic thinking and sound measurement of business trends. This program combines training in economics and in advanced quantitative techniques. The study of economic systems and economic policy, the interpretation and forecasting of macroeconomic data, and the analysis of market structures are among the core topics of the program. Graduates will hold a diploma of Laurea Magistrale.

Interaction with Collegio Carlo Alberto

Collegio Carlo Alberto is a foundation fostering research and teaching in economics, sharing the best practices of the international academic community. Economics students are encouraged to join weekly seminars as well as the “Collegio aperto”, which is a lecture series on current economic topics. Academically outstanding students may apply to become Senior Allievi of Collegio. The Allievi are expected to fulfill their university requirements, as well as to participate in additional activities at Collegio.... [-]


Master in Finance

Wroclaw University of Economics
Campus Full time 2 years October 2018 Poland Wrocław

Master Studies in Finance is the only programme in Poland which has EPAS Accreditations, for regular master studies. [+]

Why Us?

Master Studies in Finance is the only programme in Poland which has EPAS Accreditations, for regular master studies. EPAS is an international programme accreditation system developed by the European Foundation for Management Development (EFMD). It confirms the top quality of our programme, guarantying all of our students an international recognition of their diplomas. The EPAS Standards and Criteria cover all facets of programme provision, including highest international standards of programme design and delivery and quality assurance. It emphasizes our uniqueness, practical relevance of our programme, as well as high corporate culture and internationalization. Currently, only 97 best programmes from thousands around the world have this highest quality mark.... [-]


Master in Corporate Finance

LUISS Business School
Campus Full time 12 months September 2019 Italy Rome

The Master has the goal to shape young professionals interested to face increasingly complex financial challenges. [+]

Masters in Economic Studies in Europe 2018/2019.

Today the management of financial resources and the relationships with financial markets and investors are critical objectives for firms, financial institutions and other organizations. The strategic role of Corporate Finance has become increasingly important due to the greater attention that managers dedicate to raising capital, financial planning, risk management and investment activities. The current financial environment requires new skills and competences to keep up with the demands for successful professionals in these times of rapid change.

OBJECTIVES

This program prepares you to deal with increasingly complex financial challenges, providing solid technical knowledge and skills, as well as the transversal competencies required to manage complex financial situations in an international environment. You will acquire a thorough knowledge of the conceptual and empirical tools to respond to emerging financial challenges and create new opportunities.... [-]