See Masters Programs in Finance in Netherlands 2019
The Netherlands is a fascinating country with distinct cultural features, towns buzzing with life and nowadays also a multicultural and multiethnic community. The Netherlands has been known for tolerance, innovativeness and appreciation of art and music throughout the history. The Netherlands would be an inspiring place to study Finance in depth in a masters program.
Studying Finance requires students to be strong in mathematics, logic, systematical thinking, but also having a good sense of imagination would be an important asset. Whether you want to pursue a career in personal, corporate or public finance sector, in-depth study of the financial workings in the world is necessary. Entering a masters program in the Netherlands, will give you the opportunity to learn in a strong and well-developed educational environment. Since the Netherlands is positioned in the centre of Europe, you will also have ampule chances to explore the neighboring countries.
If you are serious about building your future career on the study of Finance, taking a masters program in this field would be ideal for you. Take your masters in Finance in the Netherlands and enjoy intense study as well as an exciting cultural life! Take a look at the links below to find the program that suits you best!
10 Results in Finance, Netherlands Filter
Expanding markets and the increasing complexity and variety of financial products have generated a growing demand for skilled professionals to create, price and hedge complex derivatives. The specialization in Financial Engineering provides you with advanced qualifications in operations research and finance, from the management of financial portfolios to risk analysis in financial markets. Financial Engineering is the place where finance meets operations research!
Quantitative Economics is a specialization of the Econometrics and Operations Research master's programme. This in-depth study into cross-roads of applied econometrics and economics offers you the challenge to explore the active research fields of microeconomics, macroeconomics and/or micro-finance.
Financial Econometrics is a specialization of the Econometrics and Operations Research master's programme. This hands-on study into the econometric methods used on a daily basis in the financial industry will let you become the quantitative financial specialist and will place you at the forefront of a successful professional career.
Data science: a shock to the financial system, or its biggest opportunity? The availability of big data, in combination with rapidly increasing computing power, is uncovering mechanisms not visible before. Blockchain has the ability to fundamentally change the way we register and administer information. Networks provide the opportunity to build robust and stable interactions. Major challenges lie ahead in understanding what these fascinating new technologies imply for our financial infrastructure.
The Master’s program in Stochastics and Financial Mathematics at Vrije Universiteit Amsterdam trains you in the full depth and breadth of the field, expanding your abilities and insights and enhancing your opportunities in the job market.
The Quantitative Finance program is an 84-credit Honours Track that is part of the Master’s program in Finance. You will take three core courses in finance (Investments, Derivatives, and Quantitative Risk Management), and three advanced methodological core courses in econometrics and financial mathematics.
This Master’s program provides conceptual frameworks and practical insight, both of which are vital to grasping how management and markets operate in the financial sector.
Our academic calendar is based on a quarter system (1 quarter = 10 weeks). Because of the program's flexible structure and modular design, multiple starting dates are available at the start of every Quarter and of every Term, in October, November, January, February, April, May, July, and August.
The MS - Master of Science in Financial Management program is taught in English. Core courses include Financial Statement Analysis, Cost-Volume-Profit Analysis, etc.
Train finance professionals to master and deepen their knowledge of the necessary theories and tools for the evolution of their functions.