Master's Degree in Finance in Moscow in Russia

Compare Masters Programs in Finance 2017 in Moscow in Russia

Finance

A masters is the first level of graduate coursework and can be obtained after you receive a bachelor’s degree. Earning a masters usually requires two years of full-time study, which amounts to 36 to 54 semester credits.

 

Finance is the discipline concerned with the management of money and includes personal, corporate, and public finance. Though usually associated with asset and debt management in terms of investment banking, finance also includes other specializations like accounting and retirement planning.

Russia or, also officially known as the Russian Federation, is a country in northern Eurasia. Education in Russia is provided predominantly by the state and is regulated by the Ministry of Education and Science. In Russia, it takes about 70 % of training time for the contact lessons with a teacher, the rest 30 % of the workload are devoted to the independent study of the material.

Moscow city is considered to have the most political influence in Russia. It home to some of the world’s billionaires. Moscow has over 11 million people and a vibrant economy. The city has 60 state universities and a majority of the student major in sciences.

Request Information Master's Degrees in Finance in Moscow in Russia 2017

Read More

Master in International Finance and Law (Dual Degree with the University of Pennsylvania Law School)

Sciences Po
Campus Full time 2 years

The Dual Master's degree program in International Finance and Law is a two-year full time Master's Program. Spanning a wide range of disciplines, this program offers core courses in management, finance and law. [+]

Masters in Finance in Moscow in Russia. Master in International Finance and Law (Dual Degree with the University of Pennsylvania Law School) Dual degree program - Penn Law Sciences Po and Penn Law: Two world class institutions Sciences Po at a Glance Sciences Po functions as a top-level research university in the social sciences, offering a wide and varied curriculum and drawing on academics and experts in such fields as political science, international relations, sociology, law, and economics. Scholars as well as professionals from the business world and public administration comprise Sciences Po's distinguished faculty. Located in the heart of Paris, Sciences Po is a symbol of excellence and attracts outstanding students from all over the world. With more than 470 partner universities worldwide and 47% of international students, Sciences Po has become a truly international institution. Innovation and creativity in research and education have always been a driving force at Sciences Po. Through its multidisciplinary programs, Sciences Po delivers a solid methodological training and provides students with the tools to deal with complexity. Besides, Sciences Po's education constantly encourages bold intellectual attitudes and mutual respect and consideration. Penn Law at a Glance Penn Law is a world leader in legal education, uniquely equipping students with the knowledge and skills they need to excel in today's legal marketplace, wherever their career aspirations and intellectual interests take them. Our Strengths: The Wharton Business and Law Certificate, a custom designed program taught by Wharton faculty and industry experts selected for their teaching skills, subject expertise and ability to offer applied concepts and examples to participants. World-class faculty who are celebrated scholars and devoted teachers. A culture of collegiality, where students feel welcome and supported, allowing students to safely take risks that deepen and broaden their study. The Law School: The Law School's campus is state-of-the-art, with four fully interconnected buildings surrounding a green courtyard. Students are steps away from the amenities of the University of Pennsylvania, with its activities for graduate and professional students, its state-of-the-art gym and health club, and its many libraries, museums, theaters, lectures, and events. Program overview A high standard multicultural program in Finance and Law The Dual Master's degree program in International Finance and Law is a two-year full time Master's Program. Spanning a wide range of disciplines, this program offers core courses in management, finance and law. The curriculum blends financial and legal expertise and professional skills courses. It is designed to offer advanced education in the area of financial law and to give students the opportunity to develop a top-level career in the private, public or non-profit sectors. All students will spend their first year at Sciences Po, and their second year at Penn Law. After two years of study, and provided credits have been completed in both institutions, students will receive Master's degrees from both Sciences Po (Master's in Finance and Strategy or Master's in Economics and Business) and Penn Law (LLM). The faculty involved in this program is comprised of internationally renowned academics and practitioners. By joining both the Penn Law and Sciences Po communities, dual degree students will be able to benefit from the exceptionally stimulating intellectual environment of both institutions during the duration of the program, and as alumni to extend their networks and opportunities to both sides of the Atlantic. Students participating in the program will have access at both Sciences Po and at the University of Pennsylvania to all facilities normally offered to students, such as libraries, computer network, career services, sports facilities, and student associations and cultural life. Year 1 at Sciences Po Students who are jointly admitted will spend their first year of study at Sciences Po either in the Master Finance et Stratégie (French taught) or in the Master Economics and Business (English taught): Master Finance et Stratégie, mention International Business (French taught program) Master Economics and Business (English taught program) A specific concentration can appear on the Master's degree at Sciences Po according to the courses completed at Penn Law. The Master in Finance and Strategy and the Master in Economics and Business gather a very diverse student body, in terms of academic as well as cultural backgrounds, with more than 40% international students. Year 2 at Penn Law Students spend their second year at Penn Law earning an LLM alongside 115 other foreign-trained attorneys, typically from over 30 countries. The LLM is a one-year, full-time course of study in advanced legal topics. Students select courses from an extensive curriculum of specialized courses and seminars at Penn Law. Penn Law grants a generalized LLM that allows each student to design his or her own curriculum and, in doing so, may choose to focus on a particular topic. LLM students take courses alongside our upper level JD students and are with us for ten months including the five-week summer program. Penn Law LLM students are also eligible to enroll in the Wharton Business and Law Certificate (WBLC), a custom designed program for Penn Law LLM students taught by Wharton faculty and industry experts selected for their teaching skills, subject expertise and ability to offer applied concepts and examples to participants. All LLM students may participate in this program which runs concurrently with the LLM program. In addition to our outstanding course offerings, our LLM students have the opportunity to gain real world US legal experience. As an integral part of the program, the LLM Public Service Program provides students with important opportunities to develop their professional skills while learning more about the communities that exist beyond the walls of Penn Law as well as supporting students seeking to satisfy the New York Bar pro bono requirement. LLM students are also eligible to participate in four clinical programs focusing on Entrepreneurship, Intellectual Property and Technology, International Human Rights and Immigration, and Mediation. At Penn Law, LLMs also have the opportunity to get involved with JDs in student groups ranging from Law School Light Opera Company to Penn Soccer Club, and including participation in Journal of International Law, Journal of Asian Law, and Journal of Constitutional Law. Penn Law has staff dedicated to supporting LLMs, including a Career Counselor who provides LLM specific programming and materials as well as ample availability to meet individually with LLM students. How to Apply Applications will be done online via the Sciences Po Admissions website. Please visit our admission website to learn more about the admission online process. Candidates, no matter their academic background (studies abroad or in France), seeking admission to a dual degree do neither need to sit a written exam nor take an interview. Admission is granted only by virtue of the information given in the application form. To be eligible to take the New York Bar Exam, in general, candidates must have obtained a law degree requiring at least three years of study prior to admission to the program. See the page about the foreign legal education. Most Penn Law LLMs have obtained a law degree prior to matriculation in the Program. However, applicants without a prior law degree have been admitted to the Program where they can show sufficient knowledge and/or experience in a related field as well as demonstrate how the LLM Program will advance their career and/or scholarly work. Tuition and fees Students must pay the tuition fees applicable in their host institution (Sciences Po for Year 1 and Penn Law for Year 2). Financial aid Dual degree students are eligible to the same financial aid as other students in the institution where they are enrolled (at Sciences Po for Year 1 and at Penn Law for Year 2). However, financial aid at Sciences Po and Penn Law is limited and will not cover the total cost of the dual degree program. Students are therefore strongly encouraged to also look for external grants and fellowships. Year 1: Financial aid at Sciences Po Sciences Po offers a wide range of merit-based and need-based scholarships to French, EU and international students. Year 2: Financial aid at Penn Law Penn Law has a limited amount of funding available for dual degree students. Students should consider every option available in order to fully budget for their studies at Penn Law, including taking out private loans as well as government-sponsored ones. Important information about student loans In order to apply for student loans, students have a variety of options: French citizens are eligible for French-based loans; US citizens may take out American federal loans from either Penn Law or Sciences Po but not both. Under no circumstances may the student take out loans on behalf of both institutions. This is a dual degree with the University of Pennsylvania Law School. [-]

Master in Financial Regulation and Risk Management

Sciences Po
Campus Full time 1 year

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. [+]

The Master in Financial Regulation and Risk Management is Sciences Po’s one-year program for young graduates interested in regulatory issues, corporate finance, risk management, compliance and humanities. It is the ideal program for serious students aspiring to become truly specialized in the field of financial regulation and risk management whether it is in the private or public sector. Objectives The program focuses on the fundamentals of finance and, in particular, provides students with critical knowledge regarding corporate finance, regulation and risk management. These foundational courses are contextualized and grounded in the humanities through SciencesPo’s core curriculum courses in political science, law, sociology, history and economics and completed by specialized skills training in ethics and compliance. In particular, the Master in Financial Regulation and Risk Management will: - Foster their analytical capacity through a multidisciplinary approach - Prepare students for a wide range of professional exams, including those for Chartered Financial Analyst, Financial Risk Manager, French, British and US regulatory and compliance certificates - Develop their corporate and market finance skills - Offer a privileged connection to SciencesPo’s network of corporate partners and facilitate access to the labor market Innovative teaching methods The master emphasizes interdisciplinary analytical tools and hands-on training workshops as essential to understanding and performing in the field of regulation, compliance, corporate finance and asset management. It is built on a case study approach that is further enriched by the experience and the diversity of the cohort. A high level of interaction is fostered by the small size of the class (the program enrolls 25 to 30 students a year). Students also have access to the full curriculum of SciencesPo’s Department of Economics in business, management, finance and economics as well as SciencesPo’s graduate “common core curriculum” in the humanities. They may choose from a wide range of courses and workshops offered in English and French, according to their individual academic and professional needs and interests. Faculty The Master calls upon SciencesPo’s world-class faculty and its unparalleled network of experts. The program also mobilizes the SciencesPo alumni community, whose members are committed to mentoring and guiding students in their projects and career development as well as to teaching “master classes”. Core courses are taught by both members of its permanent faculty and by adjunct professors who are leading industry specialists from SciencesPo’s corporate partners. The program draws upon the deep knowledge and expertise of SciencesPo’s Department of Economics and notably its cuttingedge research activities supported by the Banque de France Chair in Banking Regulation. Structure and Curriculum Taught entirely in English with optional courses taught in English and French, the program includes: A one-week orientation period in August in order to refresh fundamentals of quantitative skills The Fall Semester made up of seven core courses and two electives A one-week training session in January that focuses on interview skills in order to prepare for the labor market The Spring semester made up of seven core courses and two electives The final Summer semester made up of six advanced courses and which is dedicated to developing practical leadership and management/professional skills. In addition to these courses, students may choose to enroll in a language course. Non-French speakers are particularly encouraged to enroll in French language classes. The overall required number of credits is 100 ECTS, the equivalent of about 25 courses, which makes the curriculum one of the most demanding specialized master programs. Admissions The candidates must hold at least a bachelor degree with either 3-year work experience or a Master Year 1 under validation and, ideally, internship experience. They must demonstrate proficiency in English. [-]

Master in Accounting & Financial Management

Stockholm School of Economics
Campus Full time 2 years

Prepares you for careers such as Financial Analyst, Business Controller, Chief Financial Officer (CFO) & Investment Banker. [+]

Masters in Finance in Moscow in Russia. As a graduate from our program you will have a deep understanding of how financial and non-financial controls can be integrated and used for steering purposes in multinational companies, how large companies report to external share- and stakeholders and how those evaluate the financial and non-financial performance of companies. Key topics include financial reporting principles, business control, capital budgeting, financial analysis and corporate valuation. In all our courses we take an analytical and international perspective. For example, in the financial reporting core courses we do not teach Swedish GAAP but rather focus on the main concepts and principles that lie behind most international accounting standards such as IFRS. Consequently, the insights you get in the program remains valuable also when concrete financial standards change. We see accounting as a language you need to understand in order to properly analyze and understand a business corporation. As an exclusive program with relatively low numbers of students, we can offer an intimate and creative learning environment. Our faculty (all active researchers) is engaged in pedagogical development and intrigued by the learning journey of our students. The program is thoughtfully designed to encompass a variety of pedagogical methods such as lectures, group work, case teaching and a high degree of real-world examples. With close connections to the business community we are also able to have frequent guest lectures by top management of multinational firms. Specific program requirements: ... [-]

Master in Finance

Stockholm School of Economics
Campus Full time 2 years

Combines a rigorous, research-based curriculum with extensive real world applications and operational skill building. [+]

The program is taught by experienced faculty with outstanding expertise across financial topics. Topics covered include modern Capital Markets, Valuation (including options), Fixed Income, and Capital Structure. Electives include Value Investing, Restructuring, Mergers and Acquisitions, Private Equity and International Finance. The Master of Finance has been one of the most popular master programs in Europe, thanks to a great learning environment and outstanding career opportunities offered after graduation. Finance graduates pursue careers in investment banking, corporate finance, private equity, investment management, consulting, as well as non-finance positions. The large financial firms from Stockholm and London visit campus regularly and hire many of our graduates. The Finance program allows for specialization through choices of courses in Corporate Finance and Investment Management. Two specializations are offered: - Corporate Finance - Investment Management All courses are offered in English by a renowned faculty. The program is highly international and offers exchange semesters at the best business schools in Europe and the U.S. SSE one of the best in Europe SSE is one of the leading business schools in Europe. The MSc program in Finance is consistently one of the top ranked programs across various rankings. For example, the Financial Times ranking of the world's best masters programs have ranked the SSE Finance masters as no. 13 in the world, the only Nordic school represented. Specific program requirements - Corporate Finance 1) A Bachelor degree with at least 90 ECTS in Social Sciences (including but not limited to Finance, Business Administration and/or Economics) , with a minimum of 30 ECTS in Finance, Accounting and Financial Management, and/or Economics, at least half of which specifically in Finance. 2) GMAT or GRE test - GMAT score of 600 or more. - GRE score (Quantitative) of 155 or more. For both formats the recommended score for Analytical Writing part - in the range of 4.5-5.0 or higher.​ 3) Proficiency in English, which must be demonstrated in one of the following ways: - IELTS score (Academic) of 7 or more. - TOEFL total score of 100 or more (internet based). - TOEFL test scores must be sent directly from Educational Testing Service (ETS), to University Admissions in Sweden (institution code: SWEDEN 3477).​ IELTS scores should be reported by the test center to University Admissions in Sweden. English language test exemptions (ONLY THESE CASES): a) English as their native language, or b) a Bachelor’s degree from a program conducted completely in English, or c) qualifications “English B” from Swedish upper secondary school (ONLY Swedish schools). 4) CV and a letter of motivation. Relevant work experience and extracurricular activities may be taken into account. Specific program requirements - Investment Management 1) A Bachelor degree with at least 90 ECTS in Social Sciences (including but not limited to Finance, Business Administration and/or Economics) , with a minimum of 30 ECTS in Finance, Accounting and Financial Management, and/or Economics, at least half of which specifically in Finance. 2) GMAT or GRE test - GMAT score of 600 or more. - GRE score (Quantitative) of 155 or more. For both formats the recommended score for Analytical Writing part - in the range of 4.5-5.0 or higher.​ 3) Proficiency in English, which must be demonstrated in one of the following ways: - IELTS score (Academic) of 7 or more. - TOEFL total score of 100 or more (internet based). - TOEFL test scores must be sent directly from Educational Testing Service (ETS), to University Admissions in Sweden (institution code: SWEDEN 3477).​ IELTS scores should be reported by the test center to University Admissions in Sweden. English language test exemptions (ONLY THESE CASES): a) English as their native language, or b) a Bachelor’s degree from a program conducted completely in English, or c) qualifications “English B” from Swedish upper secondary school (ONLY Swedish schools). 4) CV and a letter of motivation. Relevant work experience and extracurricular activities may be taken into account. ​​ [-]

Master in Financial Economics

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

A unique blend of theory- and practice-based courses in micro- and macroeconomics, econometrics, and corporate finance [+]

Both academically rigorous and applied, this programme prepares students for successful careers as professional economists. Students take theory-based courses in micro- and macroeconomics, econometrics, asset pricing, and corporate finance, as well as applied courses in different fields of economics and finance.

Graduates receive a degree from HSE and an official letter of validation from LSE certifying that the completed programme meets international standards. They go onto careers working for top international financial institutions, technology companies, and consulting firms, or enter doctoral programmes in economics or finance at the world’s best universities.

Curriculum First year: Microeconomics, Macroeconomics, Econometrics I & II, Financial Economics I (Asset Pricing), Research Seminar | Mathematics for Economists and Finance, Russian Economy and Financial System, Research Seminar Second year: Econometrics III, Fixed Income Analysis and Derivatives, Financial Economics II (Corporate Finance), Risk Management*, Advanced Topics in Finance, Industrial Organisation, Research Seminar | Investment Analysis*, Strategic Financial Management*, International Trade and Development*, International Financial Management*, Advanced Topics in Finance, Topics in Applied Finance, Research Seminar, MSc Dissertation *Optional courses: students must take a minimum of four to graduate Partner Universities The London School of Economics and Political Science (LSE) The Tilburg School of Economics and Management Career opportunities ... [-]

Master in Corporate Finance

Rostov State University of Economics
Campus Full time Part time 2 years September 2017 Russia Rostov-on-Don + 1 more

Master in Corporate Finance postgraduate course is designed to train specialists familiar with contemporary theory and practice in the field of corporate finance and capable of using this knowledge in the financial activity of corporate, state and public or insurance institutions with making the best choices of the investment and financing ways... [+]

Master in Corporate Finance Master in Corporate Finance postgraduate course is designed to train specialists familiar with contemporary theory and practice in the field of corporate finance and capable of using this knowledge in the financial activity of corporate, state and public or insurance institutions with making the best choices of the investment and financing ways. The course offers advanced studying and integrated skills development in the lines of financial relations building, special techniques and methods of financial activity and investments, financial modeling in decision making for investing, financial reporting, financial risk decreasing and financial sustainability, introduction and application of modern financial tools. Special attention is paid to application of active learning techniques within the course, such as master classes with leading experts, business games and practical operations modeling, case studies, using real companies’ financial experience in research papers. Core modules Scientific research methods Shadow finance processes Corporate Finance (Advanced) Financial investment management Corporate Tax Planning Instrumental tools for finance decision making Data support for corporate finance management Contemporary issues of finance Finance and credit system and financial markets Financial, monetary and credit methods of economy regulation Financial analysis Financial Mathematics for decision making Corporate Financial Risks Corporate Financial Strategy Financial modeling for investment decisions Corporate assets management Corporate budget planning and financial screening Elective Modules Consolidated financial statement Financial innovations for corporate financing Corporate finance for international business International accounting, reporting and audit standards Financial stabilization and crisis management Modern financial operation practice Securities appraisal Corporate price policy [-]

Master in Financial Analysis

Rostov State University of Economics
Campus Full time Part time 2 years September 2017 Russia Rostov-on-Don + 1 more

Master in Financial analysis postgraduate program offers advanced training in system analysis for the estimation and forecasting of the financial position of the organization, the state of the stock market, analysis of the economic and demographic phenomena at state and regional levels. Financial analysis specialist monitors trends of investment risks and forms the most attractive investment conditions... [+]

Masters in Finance in Moscow in Russia. Master in Financial Analysis Master in Financial analysis postgraduate program offers advanced training in system analysis for the estimation and forecasting of the financial position of the organization, the state of the stock market, analysis of the economic and demographic phenomena at state and regional levels. Financial analysis specialist monitors trends of investment risks and forms the most attractive investment conditions. During the Master’s course in Financial analysis a student is supposed to: achieve a high level of knowledge of economics in general and be able to monitor macroeconomic situation; get deep knowledge of accounting and financial reporting as the primary information system used in financial analysis; get acquainted with the tools of fundamental and technical market analysis; learn how to study financial activity of the organization using modern tools and techniques to forecast future revenues and expenses; form skills of financial reporting analysis, financial statement expertise, sustainable development counseling. Integrated practical knowledge derived from course makes graduates highly demanded by public institutions, accounting, audit and consulting companies, banks, insurance and investment companies and allows to apply for the senior positions of financial analysts, accountants, financial departments specialists. Core modules Advanced Economics Economics of Enterprise Macroeconomic Statistics Advanced Microeconomics Advanced Macroeconomics Mathematical Modeling in Control Theory Logistics Advanced Integrated Analysis Analysis of Financial Reports (Advanced Level) Risk Analysis Advanced Econometrics Business Analysis Financial Analysis Strategic Analysis and Forecasting Financial Markets Analysis Elective Modules Fundamentals of Accounting Market Analysis Actuarial Mathematics Analysis and Optimization of Tax Base Modeling of Economic and Social Processes International Financial Reporting Standards Statistic Monitoring of Financial Markets Bankruptcy Analysis Advanced Investment Analysis Business Analysis in Public and Non-Commercial Institutions Advanced Audit Innovation Analysis [-]

Masters in Finance Program (MiF)

New Economic School
Campus Full time September 2017 Russia Moscow

The mission of the New Economic School (NES) is to benefit Russia’s private and public sectors through excellence in economics education and research. [+]

Masters in Finance Program (MiF) Welcome to MiF at NES! The mission of the New Economic School (NES) is to benefit Russia’s private and public sectors through excellence in economics education and research. NES was created in 1992 to introduce to Russia a master’s degree program in economics. The success of this program turned NES into the best economics institution not only in Russia, but in all of Eastern Europe. Our faculty publishes in the leading international journals and prominently represents Russia in the international economics and finance profession. In January 2007 we launched a new Masters in Finance (MiF) program supported by Morgan Stanley to reach early- and mid-career finance professionals. In June of 2008 we awarded diplomas to the first cohort of MiF graduates. The students and the alumni report that our dreams about the great finance program in Moscow are coming true. We have a program that both meets international standards of quality and provides knowledge useful in the daily life of the Russian finance community. There are more than 100 graduates of MiF program. The Masters in Finance program relies on the permanent faculty in economics and finance, and visiting professors from the leading universities and business schools in the world. The key advantage of the program is its unique cooperation with the private sector. Leaders of the Russian - and international - finance community participate in shaping the program’s curriculum, give guest lectures and teach full courses. This cooperation helps the program to fulfill its goal of providing students with skills based on cutting-edge financial research and applicable to the modern world of finance. The success of our new program requires more than just the excellent permanent and visiting faculty and cooperation with the private sector. 20 years of NES history has taught us that the School’s most valuable asset is neither faculty, nor staff, nor academic resources or curriculum; it is our students. Since 2007, the Masters in Finance program has attracted excellent students. Our goal is to continue to bring in the best and brightest professionals from the Russian finance community - those who will be able to elevate their field to a new level. Only the most talented and motivated students will make the Masters in Finance program what we envision it as: the best finance program in Russia, a path to a successful career, and an essential source of future leaders for Russia's economy and society. [-]

MSc Financial Management And Investment

Moscow State University of Economics, Statistics and Informatics MESI
Campus Full time Part time 4 - 5 semesters September 2017 Russia Moscow + 1 more

Financial management and investment - one of the important directions of modern master training, has become commonplace in many countries.Its popularity is due to the ever-increasing [+]

MSc Financial Management and Investment

Language of instruction: Russian

Financial management and investment - one of the important directions of modern master training that has received the most widely distributeds all over the world.Its popularity is due to the ever-growing needs of the labor market in competent professionals trained in line with the demands of practice, holding a solid knowledge in the field of economy and finance, investment, capable of generating innovativennye ideas, implement them, and demonstrate the ability to solve business problems for the organization of the business, its sustainable development and introduction of advanced technologies that promote enterprise competitiveness in a globalized world. The purpose of the program: the training of professional economists and managers with in-depth knowledge of financial management and a broad range of investment disciplines, owning the latest technology financial management is efficient canbut to manage the company in the current economic conditions and to identify prospective investment targets. ... [-]


Master in Financial Management

Higher School of Finance and Management of the Russian Academy of National Economy and Public Administration
Campus Full time Part time 2 - 3 years September 2017 Russia Moscow + 1 more

Master’s Degree Programme in Financial Management The Master’s degree programme in Financial Management aims to train a new generation of managers to be capable of working out high-quality solutions, conducting analytical investigations and modelling alternatives in the globalization context. [+]

Goal: to train top financial managers, investment and finance analysts, financial engineers, actuaries, assets managers, and risk managers to work in specific areas of financial management.

Objectives: To teach how to formulate accounting policies and analyze financial reports using IRFS To develop skills of financial forecasting, planning and modelling To study risk management methods with the use of hedging instruments To make financial diagnostics and formulate financial strategies Manage company capital on the basis of an optimal policy of profit capitalization Distinct professional orientation Practical orientation of the courses Coaching and Individual Consulting Certification of Financial and Investment Analysts in Russian and English: ... [-]

Master’s programme in Financial Economics

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

In September 2007 ICEF launched a Master’s programme in Financial Economics in academic cooperation with LSE supported by several Russian and international corporate donors with the aim of training top international-level experts ... [+]

Master’s programme in Financial Economics

Offered by International College of Economics and Finance of the National Research University "Higher School of Economics"

In September 2007 ICEF launched a Master’s programme in Financial Economics in academic cooperation with LSE supported by several Russian and international corporate donors with the aim of training top international-level experts in Economics and Finance. The programme is both academically rigorous and applied. Its curriculum is a unique blend of the core courses in Micro- and Macroeconomics, Econometrics, Asset pricing and Corporate finance, and applied courses in various fields of Economics and Finance. Programme graduates start their careers as professional economists or analysts at financial institutions (including Sberbank, the Central Bank of Russia, HSBC, UBS), non-financial companies (Sibur, Renault) or continue their studies at the doctoral level in top universities (such as LSE).   ... [-]