Compare 11 Masters Programs in Finance and Economics
Earning a master’s degree is the result of a postgraduate program. They are typically awarded after a large amount of instructor-supervised research and collaboration has been completed. This degree can measure competence in professional and technical arenas. In the finance industry, this degree can enhance professional skills and set individuals apart from their competition.
What is a Master in Finance and Economics? What type of subjects are covered in this program? Within the world of finance there are many areas of focus. These programs may hone in on macroeconomic policies or the stock market. Other topics include quantitative economics and theoretical or applied economics. Students gain the tools they need to adapt to changes in the financial environment and to develop theoretical analysis.
There are often financial benefits to participating in this postgraduate program, but the advantages extend beyond finances. Higher level degrees are often geared toward professionals who earn advancements following graduation. Participants in the program can gain professional contacts, expanding their existing network. At the culmination of the program, students usually enjoy easier access to highly sought-after positions. Program participants interact with professionals who are respected in their fields and can begin to develop a network of peers before they graduate.
With educational institutions located in various areas of the world, the costs associated with participation in these programs can vary. Individuals who hope to attend a program should communicate directly with the schools for accurate information regarding tuition and related fees.
Upon graduation, professionals often find positions with large institutions. Jobs include positions such as financial regulator or business analyst. Other employment opportunities are found in asset management, insurance companies, public administration, and private banks. Some job responsibilities include wealth management, consulting, and hedging.
Individuals who hope to advance their careers through further education should consult the program listing for more details. When pertinent programs are found, fill out the lead form. Search for your program below and contact directly the admission office of the school of your choice by filing in the lead form.
11 Results in Finance and Economics Filter
General objective: To train human resources able to design, apply and analyze knowledge and methodologies, to contribute to the evaluation of real estate, operating companies and investment projects in the region and in the country, with valid value criteria that provide support to solve problems derived from the growth of the tangible and intangible goods market, through a solid and integral formation, with a positive attitude and open to change, with a social commitment that allow it to compete in the national and international market.
The Master in Economics and Finance seeks to combine conceptual models with real cases, while at the same time trying to develop analytical, evaluation and integration capacities of the main subjects that are addressed in these disciplines.
Master in Economics and Finance (MEF) is a two-year English-language Master's degree programme, which aims to give the student a thorough grounding in both theoretical and applied economics. The programme aims to give the student a thorough grounding in both theoretical and applied economics.
The Master in Financial Counseling trains and prepares students with the knowledge and skills necessary to successfully develop and work effectively integrated financial advisory and asset management ...
The Master in Economics and Finance (MEF) was created in 1999 with the objective of preparing top-level specialists in two increasingly important areas: economic analysis and financial theory.
This course offers three curricula to sharpen your economic and financial knowledge: a course in quantitative economics entirely taught in English that allows you to study abroad with the Erasmus Mundus programme or do courses (one in Italian and one in English) specialising in the main areas of management are banking, finance, and insurance (for example, loans, finance, treasuries, securities, organisation, planning, internal controls) and in the management of financial investments. Thanks to the mastery of the economic and financial interpretive tools that you have acquired, you can aspire to establish yourself with positions of responsibility in private companies and national and international public bodies.
The Master Program (Laurea Magistralis) in Economics, Finance and International Integration (MEFI) is a post-graduate course open to Italian and foreign students aiming to pursue advanced studies in the field of applied economics and finance in an international perspective.
This programme is aimed at training a new generation of lawyers, who are able to work as professionals in international economic relations. It offers courses on the laws of the Eurasian Economic Union, the WTO and free trade zone legislation, regulation of the international financial system, foreign investment protection, etc. Furthermore, the programme seeks to meet the growing demand for lawyers from export-oriented and transnational companies, governmental bodies, and international organizations.
Our two-year Master's degree in Economics and Finance aims to develop capabilities to understand economic and financial phenomena, expert technical knowledge to interpret and manage complex financial issues, and develop and assess public policies.
The international master's programs in economics and finance at WISE & SOE, XMU are designed to attract international students with clear academic interests and motivations, who would like to carry out their master and/or doctoral studies in China.
New financial paradigms are emerging. With recent 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 the business.