Compare Masters Programs in Finance in Germany 2019
Germany is a top destination for graduate education chosen by students from across Europe and the globe, especially in the field of finance. Due to Germany’s position as an economic and financial center in Europe, students can gain an exceptional amount of experience and it is possible to have additional professional development activities to complement the academic programs. With a Masters degree in Finance in Germany, students are on the path towards a successful career in Europe and abroad.
There are plenty of options for students interested in a Masters in Finance in Germany, and these include specializations in areas such as financial engineering, risk management, quantitative finance, and financial management. Students earning a Master in Finance in Germany will gain a solid foundation in business, finance, and economic principles through coursework, seminars, case studies, and internships.
Scroll through the Masters degree in Finance in Germany programs below and you may find the next step in your career!
7 Results in Finance, Germany Filter
The master's degree program controlling and financial management * with the degree "Master of Arts" (MA) provides both generalist business skills and specific knowledge. This is
During the whole program, students must take 7 compulsory and at least 4 elective courses. In the last semester, students must do an internship and finish their dissertations to graduate.
Decision-makers and entrepreneurs are being confronted more than ever before with demands that can no longer be met by the functional range of classic business management alone. Conventional management training has reached its limits, as argued by the renowned Canadian management theorist Henry Mintzberg and the Stanford economist Jeffrey Pfeffer, and ironically lamented by "The Economist" in its 2010 yearbook: "The decline of the MBA will cut off the supply of bullshit at source." p. 122.
In the Finance & Accounting degree programme you will acquire business competence for varied and demanding managerial functions.
Advanced knowledge of the fundamental theory, continuous-time financial mathematics skills and the ability to put that expertise into practice, coupled with an understanding of key concepts in actuarial and financial mathematics is more important than ever to an understanding of the increasingly complex financial market.
The Master Program in Financial Engineering provides innovative solutions of pricing, hedging, trading and portfolio management problems by employing advanced mathematical methods and computer technology.
The supply of investment and financial instruments is growing inexorably - as well as their economic and legal complexity. With our Master of Financial Law you broaden and deepen your economic and legal expertise in the area of current financing issues. In this way you strengthen your practical negotiation and decision-making skills and gain the legal and financing expertise that is essential for a successful career in companies, banks, consulting or supervision.