Master Program in Finance and Economics in Europe

Find Masters Programs in Finance and Economics in Europe 2017

Finance and Economics

A Masters degree is an academic degree awarded to individuals who successfully denote a higher level of expertise. There are two main types of Masters - taught and research.

A finance and economics program is geared toward students who want to gain a comprehensive education in finance. Each program will vary, but many of them focus on analysis tools and how they are applied in business.

Europe is, by convention, one of the world's seven continents. Comprising the western most point of Eurasia, Europe is usually divided from Asia by the watershed divides of the Ural and Caucasus Mountains, the Ural River, the Caspian and Black Seas, and the waterways connecting the Black and Aegean Seas.

View all Master Programs in Finance and Economics in Europe 2017

Read More

Master’s Programme in Quantitative Economics and Finance

University of St.Gallen (HSG), School of Management, Economics, Law, Social Sciences and International Affairs
Campus Full time 18 months September 2017 Switzerland St.Gallen

The Master’s Programme in Quantitative Economics and Finance (MiQE/F) offers a high-quality graduate education in economic theory, finance and quantitative methods. Students can choose to specialise in either Economics or Finance, or a combination of both. [+]

The Master’s Programme in Quantitative Economics and Finance (MiQE/F) offers a high-quality graduate education in economic theory, finance, and quantitative methods. Apart from a common set of core courses, you select from a larger menu of optional courses to specialise in economics, finance or a combination of both.

 

Your head start

The unique feature of the MiQE/F is the combination of comprehensive economic and finance theory with quantitative empirical methods to analyse and solve challenging practical problems in economics, finance and the private sector. Being equipped with rigorous statistical and econometric methods and an expert knowledge of economics and finance, you will be uniquely positioned on the job market to successfully compete for the most challenging career opportunities in science, the private sector and national and international policy institutions. Curriculum... [-]

Master in Economics and Finance

University of Luxembourg, Faculty of Law, Economics and Finance
Campus Full time 4 semesters September 2017 Luxembourg

This Masters is aimed at students wishing to obtain a comprehensive and sound education in finance. The course highlights the largely complementary nature of theoretical analysis tools and their application in business. In addition to the courses taught by the Professors of the University, seminars are run by professionals who are active in Luxembourg’s financial sector. [+]

This Masters is aimed at students wishing to obtain a comprehensive and sound education in finance. The course highlights the largely complementary nature of theoretical analysis tools and their application in business. In addition to the courses taught by the Professors of the University, seminars are run by professionals who are active in Luxembourg’s financial sector. Presentations of companies that offer work placements for students are also scheduled. The course is conducted over 4 semesters (full-time).The first year of the Masters (60 ECTS) consists of the fundamental topics of financial economics. The second year of the Masters (60 ECTS) comprises in-depth courses in economics and financial techniques as well as either a work placement or time to prepare a thesis. The course is taught in both English and French. Objectives In the field of finance there is strong complementariness between theoretical analysis and its applications. The goal of the course is to enable students to adapt to the rapid changes in the financial sector and to make them familiar with the tools derived from the latest research. Learning outcomes The programme highlights the substantially complementary nature, in the field of finance, between the theoretical analysis and their application in business. It offers students a training course that enables them to adapt to the rapid changes in the financial sector by applying knowledge and tools derived from the latest research. The sound technical and institutional know-how gained from this education program enables our graduates to benefit from a high level of... [-]

Master in Economics

Across the Pond
Campus Full time 1 year August 2017 United Kingdom Aberdeen Belfast Brighton Canterbury Cardiff Chester Cirencester Colchester Edinburgh Epsom Exeter Falmouth Farnham Glasgow Guildford Huddersfield Leeds Leicester Lincoln Liverpool London Loughborough Manchester Newcastle Norwich Nottingham Oxford Reading Rochester Sheffield + 29 more

Across The Pond partners with some of the top UK universities for economics. In fact, UK universities comprise over 10% of the QS World University Rankings for Economics list. [+]

Masters in Finance and Economics in Europe 2017. STUDY ECONOMICS IN THE UK Across The Pond partners with some of the top UK universities for economics. In fact, UK universities comprise over 10% of the QS World University Rankings for Economics list. As an academic discipline, economics marries the analytical, the mathematical, and human impact; therefore; it is a truly inter-disciplinary subject with multiple perspectives and outcomes. With an ever-changing economic landscape both within and outside of the UK, now is an excellent time to obtain a degree in economy to make a contribution to understanding these shifts. With the UK’s diversity and its ever-changing economy, it is an ideal and exciting locale for the academic pursuit of economy. BENEFITS OF STUDYING ECONOMICS IN THE UK Shorter courses: Most Master’s programs are only one year long, and most undergraduate programs are only three years long Networking opportunities: Many unis in the UK focus on having staff that are active in their fields, helping to provide an employability perspective and to generate learning opportunities outside of the classroom. UK as classroom: For those interested in the financial and/or business side of economics, the UK is a significant site of the finance world. While London is of course a major financial center, students can also study in cities like Leeds, which is the second largest financial and business center in the UK, and can also explore the economies of smaller parts of the UK. Students can also use the UK to examine... [-]

Masters in Economics and Finance

Ca' Foscari University of Venice
Campus Full time 2 years October 2017 Italy Venice

This graduate degree programme produces experts able to proficiently tackle the main financial issues relating to financial markets. [+]

This degree programme offers the possibility to get a double/joint degree with other European Universities. - Double Degree in Economics, Econometrics and Finance (MEEF) with Aix-Marseille University (France) At the end of this study programme, students will be awarded with a double degree: Laurea Magistrale in Economia e Finanza of Università Ca’ Foscari and Master Sciences Economiques (Parcours Econométrie Bancaire et Financière) of Université Aix-Marseille. - Joint Degree in Models and Methods in Economics and Management - Erasmus Mundus (QEM) in collaboration with Université Pantheon-Sorbonne - Paris 1 (France), Universität Bielefeld (Germany) and Universitat Autònoma - Barcelona (Spain). - Double Degree with Master Economie et Ingénierie Financière with Université Paris-Dauphine (France) At the end of this study programme students can be awarded with a double degree: Laurea Magistrale in Economia e Finanza of Università Ca’ Foscari and Master Economie et Ingénierie Financière of Université Paris-Dauphine. Link to the Degree Programme page Link to the apply procedure page Access to the programme Unrestricted, with the evaluation of minimum curricular requirements. Admission requirements To be admitted to this Second Cycle Degree programme, students must possess a proper individual educational background, as well as the minimum curricular requirements. A certified knowledge of English at minimum level B2 is also required. Learning outcomes This graduate degree programme produces experts able to proficiently tackle the main financial issues relating to financial and investment markets. Graduates will be able to seek employment at financial institutions (trade banks, savings management companies, insurance companies) as managers, controllers, analysts... [-]

Master in International Economic and Political Studies (IEPS)

Faculty of Social Sciences, Charles University (FSV UK)
Campus Full time 2 years October 2017 Czech Republic Prague

International Economic and Political Studies (IEPS) is a two-year English-language Master's degree programme, which seeks to investigate contemporary political, economic and social issues from a multidisciplinary perspective. [+]

Masters in Finance and Economics in Europe 2017. International Economic and Political Studies (IEPS) is a two-year English-language Master's degree programme, which seeks to investigate contemporary political, economic and social issues from a multidisciplinary perspective. Although the predominant emphasis in IEPS is on approaches from economics and political science, students will also be expected to explore their historical, legal and sociological aspects. The IEPS programme offers a unique study both in its contents and methods. It is based neither on an overview of facts about the social organisation, nor on crunching of abstract mathematical models – it offers the students the ways of thinking and understanding social, economic and political phenomena in globalised societies. Students deal with the nature of economic objectives of agents, social organisation, institutions of power, emergence of conflicts and aims at cooperation. They are expected to master the principles of modern non-conventional economic thinking and be able to apply it in political decision-making at the level of supra-national institutions, states, regional governments, corporations, firms, political parties and groups of citizens. Description of the entrance examination and evaluation criteria In addition to the application, the following documents must be provided: 1. Copy of a diploma to show completed Bachelor's or Master's studies, or confirmation of ongoing studies in the academic year that those studies will be completed; 2. Transcript of marks and academic results from previous higher education studies; 3. CV 4. Motivation letter Confirmation of studies may be substituted with a transcript of marks, provided that... [-]

Master in Strategic Corporate Finance

Higher School of Economics
Campus Full time 2 years September 2017 Russia Moscow

Our master's programme is meant for those who want to gain a deep understanding of finance, while simultaneously obtaining broad professional vision. The key focus of the SCF programme is corporate finance. Our program provides a unique combination of deep knowledge of modern financial theories and essential practical skills, thereby equipping our graduates with competitive advantage in the market. [+]

Programme Overview Key Advantages Our master's programme is meant for those who want to gain a deep understanding of finance, while simultaneously obtaining broad professional vision. The key focus of the SCF programme is corporate finance. Our program provides a unique combination of deep knowledge of modern financial theories and essential practical skills, thereby equipping our graduates with competitive advantage in the market. At the same time, the programme is built in such a way that it allows students to gain a broad spectrum of knowledge in other areas of finance and economics as well. Aside from corporate finance, our students study macroeconomics, microeconomics, econometrics, asset pricing, venture capital, value-based management, behavioural finance, and much more. Our graduates work in consulting and at leading investment banks, M&A advisory firms, and investment funds. Some become strategy consultants, and others – buy-side analysts and portfolio managers. Some develop their own business, conduct academic research, or build a career as a CFO in companies of the real sector. Our alumni live mostly in Moscow or London, but there are also those who have gone to New York, Amsterdam, Berlin, and even Sydney. Agenda The Strategic Corporate Finance programme is taught by leading Russian academics, visiting international professors, and finance practitioners from major global companies. Students gain qualitative theoretical knowledge that will open a broad range of future professional opportunities, as well as practical skills that will set them apart from other candidates in the early steps of their careers. Core courses in macroeconomics,... [-]

Master in Finance

Technical University of Ostrava
Campus Full time 2 years September 2017 Czech Republic Ostrava

The objective master’s study in Finance is to prepare highly qualified experts able to solve analytical tasks and work at related managerial positions at middle and upper management in companies and institutions. [+]

Masters in Finance and Economics in Europe 2017. Study Branch Economic Policy and Administration Branch Profile The objective master’s study in Finance is to prepare highly qualified experts able to solve analytical tasks and work at related managerial positions at middle and upper management in companies and institutions. Study is structured and focused the way so that the graduates will practice in financial departments and in the financial management of non-financial institutions (production and business companies), financial institutions (commercial and investment banks, investment companies, insurance companies) and national economy (government and regional administration). Key Learning Outcomes Knowledge The base of study is to obtain knowledge in the following areas: - financial management and financial decision-making of the companies, costs management, calculations, prices, accounting and taxes, - financial and capital markets, commercial and investment banking, insurance companies, - financial decision-making under risk, investment decision-making, company valuation, financial modelling, tax theory, - financial, money and capital markets, commercial bank management, investment companies and insurance companies, derivatives valuation, financial assets portfolio management, - international finance, international financial institutions, financial systems, fiscal and tax systems, etc. Skills analyzing financial situation of a company solution of the financial management problems investment project valuation proposal of the price and costs calculations orientation in the managerial accounting understanding the principles of taxation and taxes orientation in area of banking and insurance understanding commercial bank management, investment companies and funds, instance etc property valuation, security valuation, company valuation financial models proposal, etc řízení portfolií finančních aktiv orientace v... [-]

International Master in Finance

EADA - Escuela de Alta Dirección y Administración
Campus Full time 1 year September 2017 Spain Barcelona

The objective of the International Masters at EADA is to give participants "professional competitive advantage" by focusing on three fundamental areas. [+]

International Master in Finance

Diploma: Students who successfully complete the programme will receive two diplomas:

 

- EADA Diploma: International Master in Finance

- Official University Master. Those students in possession of an official university diploma, or with an equivalent official diploma that allows access to post-graduate studies in the country of your university studies, will be awarded an Official University Master in Business Management by Universitat de VIC, our university partner.

This official university diploma is adapted to the European Higher Education Area in accordance with the Bologna Process, and is worth 60 ECTS credits.... [-]


Master in Economics

ESOMAS, University of Turin
Campus Full time 2 years September 2017 Italy Turin

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

Masters in Finance and Economics in Europe 2017. 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 programme 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 fulfil their university requirements, as well as to participate in additional activities at Collegio. International Exchanges The following partner universities have masters degrees that are close to ours. Freie Universitaet Berlin, Carlos III Madrid, Copenhagen Business School, University of Freiburg, Katholieke Universiteit Leuven, University of Rennes I, Ludwig-Maximilian Munchen, Monash University Melbourne, Sydney University, University of Helsinki, Universidad Autonoma de Barcelona, Universidad Autonoma de Madrid. Double Degree There is the possibility to obtain a double-degree (the Italian Laurea Magistrale in Economics and the French Master in Public Economics and Public Finance) by attending the second year at the Faculty of Economics of the University of Rennes... [-]

Master's in Finance

NHH Norwegian School of Economics
Campus Full time 2 years August 2018 Norway Bergen

Degree: MSc in Economics and Business Administration [+]

Degree: MSc in Economics and Business Administration ECTS credits: 120 Duration: two years The programme prepares students for a wide range of outstanding career opportunities within financial services, consulting and auditing. The portfolio is designed and taught by NHH’s internationally recognised finance faculty, whose academic research and industry knowledge ensure that the courses are relevant and of high quality. The courses combine a rigorous theoretical approach with relevant applications and students will develop a deep understanding of the theoretical framework and empirical evidence in finance. You will learn to analyse real-life problems related to financial markets and financial decision-making in firms, and to apply principles at the research frontier. Upon completion of the programme, you will possess skills for performing investment analysis and valuation, evaluating portfolio management strategies and techniques, and making corporate finance decisions and risk management considerations. ... [-]

Master in Finance

Poznan University of Economics and Business
Campus Full time 2 years September 2017 Poland Poznań

The programme focuses on giving the students the knowledge of financial markets and of the processes that govern contemporary local and global finances. [+]

Master in Finance

This is an elite and interdisciplinary program, which encompasses both general and specialist knowledge in the field of economics and management. The students will know how to understand the processes that govern world and local economies and how to use the tools available to make financially responsible decisions.

The program will show students how the financial markets function, how to analyze financial situation of a company, how to make financially responsible decisions. The students will also learn how to secure financially economic activity, how to use the means the company has effectively and how to judge their use.

 

AREAS OF STUDY The program is based on four major areas: * Accounting, selected courses: Corporate and business accounting, Managerial accounting, Tax systems, * Finance, selected courses: Public finance, Corporate finance, Local government finance and EU financial system, Behavioral finance, * Insurance, selected courses: Personal and commercial insurance, * Management, selected courses: Private asset and wealth management, Portfolio management. GRADUATES Because of our analytical approach to the functioning of companies combined with necessary and up-to-date theoretical knowledge graduates of this program have numerous opportunities of employment, for example in: * financial and accounting departments as a financial analysts or brokers, * public sector – various positions, * corporations as advisors, portfolio managers or head accountants, * establishing their own companies. [-]

Master in Finance

Masaryk University Faculty of Economics and Administration
Campus Full time 2 years September 2017 Czech Republic Brno

The Finance programme prepares students to work in various positions in financial institutions and monetary systems; from banking, insurance and market trading, to corporate finance, financial accounting, auditing, and taxes. [+]

The Finance programme prepares students to work in various positions in financial institutions and monetary systems; from banking, insurance and market trading, to corporate finance, financial accounting, auditing, and taxes. Students choose between two specializations, Financial Markets and Accounting. Our Finance programme is accredited by ACCA (a global association offering qualifications for those graduates who wish to pursue a career in accountancy, finance and management) and ICAEW (the ACA qualification is one of the preferred qualifications for graduates interested in a career in general practice, corporate management and consultancy). Learning Outcomes The programme graduates with the specialization Financial markets will: understand and define basic terminology used in finance theory and practice be able to calculate yield from financial investments and an impact of inflation on savings and financial investments be able to describe and understand basic trends in financial markets be able to choose suitable bank products for savings and credits The programme graduates with the specialization Accounting will: be able to explain accounting methods used in national and international business, understand systems of valuation and taxation used in the Czech Republic and in the EU countries understand auditing procedures used in international business be able to develop financial analysis system for trading companies and financial institutions Graduate Employment Our graduates assume positions in various capacities in financial institutions (banks, insurance companies, and trusts); as stockbrokers or private financial investors; or in finance and accounting departments of companies and institutions. Many of them hold higher managerial positions in financial divisions... [-]

Master in Finance

ESSEC Business School
Campus Full time 15 months September 2017 France Cergy-Pontoise Singapore + 1 more

The Master in Finance, recognized by the French Higher Education and Research Ministry as Master Degree, and ranked 7th best Master in Finance worldwide by the Financial Times in 2016, is a graduate program tailored to individual needs and goals. [+]

Masters in Finance and Economics in Europe 2017. A word from the Academic Director “The increasingly globalized and complex economy creates an additional demand for graduates with a well-recognized expertise in all areas of finance. In addition, corporate financial directors, consulting (advisory) firms, investment banks and financial institutions are in need of in-depth technical knowledge in finance.Career-oriented and internationally focused, the ESSEC Master in Finance is a highly selective and intensive program designed to offer high quality training to high potential students who wish to pursue a career in corporate finance, financial markets, asset and portfolio management as well as risk management. The program has a strong international dimension and teaches students to adapt to a multicultural environment, addressing multinational issues and providing exposure to both Europe and Asia. It offers a global approach to finance with a strong emphasis on the underlying skills necessary to operate in today’s financial professions.” Professor Sridhar Arcot, Academic Director of the Master in Finance. Ph.D. in Finance, LSE, Associate Professor, Finance Department. Academic The Master in Finance, recognized by the French Higher Education and Research Ministry as Master Degree, is a graduate program tailored to individual needs and goals. It offers 3 specialized tracks in Corporate Finance, Financial Markets, and Asset Management. The curriculum is flexible and it is full-time during 15 months. The 90 ECTS credits cover courses, an international study trip and an internship or academic dissertation. Students can choose to enroll the program either on the ESSEC France campus (Cergy,... [-]

Master in Economics, Finance and International Integration

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

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. [+]

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. MEFI trains students longing to start high level careers as professionals or managers in national and multinational firms and within the Public Administration. Starting from the academic year 2013-2014 this Master Program will be entirely taught in English, fulfilling the internalization aims of our Department. The Department is already involved in many international mobility programs for graduate students. Moreover a few double degree programs in Economics have been already agreed and are being carried out with some major European Universities. The decision to teach all MEFI courses in English is then just a further path in our internalization strategy. Though students attending MEFi will get the same degree, they may choose from the start between three different specializations: Finance; Industrial Organization and Market Strategies; International Economic Integration. Such a variety of academic options is consistent with the existence in our Department of different groups of researchers sharing common scientific interests, publishing extensively on these topics and occasionally working as consultants for private and public institutions. The Finance curriculum has been developed by a group of mathematicians, statisticians and econometricians who have long since concentrated their research work on financial markets. They also cooperate with colleagues involved in macroeconomics and corporate finance. The Industrial Organization and Market Strategies curriculum is based as... [-]

Master of Finance

Asia Pacific University of Technology & Innovation (APU)
Campus Full time Part time 18 - 60 months January 2018 Malaysia Kuala Lumpur + 1 more

This Master of Finance programme will equip graduates with the highly marketable skills, and specialised financial knowledge and tools to move from theory to real-world applications needed to take them to the forefront of the financial world. [+]

Masters in Finance and Economics in Europe 2017. Master of Finance This programme is specifically designed to provide a solid in-depth knowledge in the theory and practice of decision making needed to face the challenges in the financial world of today. In the rapidly changing business world of today, there is a growing need for finance professionals to meet the high requirements set by firms operating in a demanding environment and understanding its key areas at a global level is critically vital. This Master of Finance programme will equip graduates with the highly marketable skills, and specialised financial knowledge and tools to move from theory to real-world applications needed to take them to the forefront of the financial world. Admission Requirements Bachelor’s degree with minimum CGPA of 2.50 or equivalent as acceptable by the Senate; OR Bachelor’s degree or equivalent but for CGPA below 2.50; can be accepted provided that the candidates must have 5 years working experience in relevant field. Graduates of equivalent qualifications who have several years of relevant industry experience. Evidence of satisfactory English language skills is required for candidates where English is not their first language, such as IELTS 6.0 or above or TOEFL 550 or above. Who should attend This degree is intended for finance professionals looking to widen their skill base, or students who have made a professional commitment to pursue a career in the finance industry and who have studied finance in an undergraduate degree and are interested in equipping with the most... [-]