Master's Degree in Finance in Florence in Italy

View Masters Programs in Finance 2018 in Florence in Italy

Finance

A master's degree is a postgraduate academic degree. One must already have an undergraduate degree to apply for a master's program. Most master's degree program would require students to complete a master's thesis or research paper.

The field of finance is centered upon money management at all levels. Finance students often study a broad range of subjects from investment banking to personal financial planning. They may focus on a subfield like accounting or business finance right away, or wait to specialize with a graduate degree.

Italy, officially the Italian Republic, is a unitary parliamentary republic within the European Union, located in Southern Europe. To the north, it borders France, Switzerland, Austria, and Slovenia along the Alps.

Florence is one of the most populous city of Italy. This place is known for its Art institutions. Moreover, institutions like Florence University of Arts are dedicated to providing good quality art based education. These educational institutions focus on over all grooming of the students.

Request Information Master's Degrees in Finance in Florence in Italy 2018

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Master in Finance

European School of Economics Italy
Campus Full time 12 - 15 months October 2018 Italy Rome Milan Florence + 2 more

The Master in Finance prepares fund managers and professional investment analysts for entrance into the banking and finance sector. The course examines the principles of financing and investment decisions and their impact across a broad range of contemporary management concerns. [+]

Master in Finance

The Master in Finance prepares fund managers and professional investment analysts for entrance into the banking and finance sector. The course examines the principles of financing and investment decisions and their impact across a broad range of contemporary management concerns.

As part of the Finance specialisation, master students explore:

classical and contemporary corporate financing approaches with respect to multinational firms in developed and developing markets the viability and appropriateness of a corporate mergers or acquisitions through evaluation and analysis value assessment and enterprise value risk management and different theories and approaches for the multinational enterprise the necessity for new approaches to dealing with geographical dispersed groups of individuals as well as other resources in international project management ... [-]

Master in Finance and Risk Management

University of Florence
Campus Full time 2 years October 2018 Italy Florence

The MSc in Finance and Risk Management (CLM FiRM) offers its prospective students an advanced education in finance and quantitative risk management. The course is a combination of economic theory for finance with mathematical methods (probability theory, statistics, numerical analysis) for finance and insurance. Graduates should be able to work as specialists in quantitative-oriented areas of the... [+]

The MSc in Finance and Risk Management (CLM FiRM) offers its prospective students an advanced education in finance and quantitative risk management. The course is a combination of economic theory for finance with mathematical methods (probability theory, statistics, numerical analysis) for finance and insurance. Graduates should be able to work as specialists in quantitative-oriented areas of the financial services industry, such as trading, risk or asset management, or to work in specialized areas of an insurance company. The MSc in Finance and Risk Management aims at preparing students for high-level careers as risk and assets managers, actuaries, business specialists, quantitative analysts in insurance companies and consultancy firms. The students who complete the MSc in Finance and Risk Management are eligible to achieve professional status as an Actuary in Italy. Teachings of First year COMPUTATIONAL FINANCE CORPORATE FINANCE CORPORATE GOVERNANCE AND FINANCIAL INSTITUTIONS FINANCIAL STATEMENT ANALYSIS INTERNATIONAL AND FINANCIAL ECONOMICS QUANTITATIVE FINANCE AND DERIVATIVES QUANTITATIVE RISK MANAGEMENT Teachings of Second year ECONOMETRICS OF FINANCIAL MARKETS ENGLISH FOR BUSINESS AND FINANCE FINAL EXAMINATION FINANCIAL SERVICES AND MARKETS LAW INTERNSHIP MERGER AND ACQUISITION VALUATION PORTFOLIO CHOICE AND OPTIMIZATION PORTFOLIO CHOICE AND OPTIMIZATION - MOD.A RISK THEORY AND SOLVENCY MODELS RISK THEORY AND SOLVENCY MODELS - MOD.A WORKSHOP WORKSHOP WORKSHOP IN ACTUARIAL SCIENCE WORKSHOP IN CORPORATE FINANCE WORKSHOP IN ETHICAL FINANCE WORKSHOP IN FINANCIAL LAW WORKSHOP IN QUANTITATIVE FINANCE [-]