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.
Students who study financial analysis examine the viability, stability and profitability of a business, project or venture. Information is garnered from financial statements and other key reports to measure a company’s financial health.
Request Information Part time Masters Degrees in Financial Analysis 2018
Rutgers, The State University of New Jersey (Rutgers) is proud to be among only ten CFA Institute Partner Schools in the country to offer a one year Master of Financial Analysis (M.Fin.A) that prepares students to pass the prestigious CFA (chartered financial analyst) exam. [+]
Rutgers, The State University of New Jersey (Rutgers) is proud to be among only ten CFA Institute Partner Schools in the country to offer a one year Master of Financial Analysis (M.Fin.A.) that prepares students to pass the prestigious CFA (chartered financial analyst) exam.
“The Financial Engineer” has ranked the MFinA at Rutgers the number one Master of Finance program in the New York metropolitan area.[-]
The Master of Science in Financial Analysis (MSFA) at the University of San Francisco is focused on building expertise in investment analysis and management. [+]
The Master of Science in Financial Analysis (MSFA) program at the University of San Francisco provides a unique combination of academic rigor and practical expertise in quantitative financial analysis and economics. Gain sophisticated training in the areas deemed crucial by the investment management profession as embodied in the Chartered Financial Analyst (CFA) designation. This graduate program integrates the quantitative training required by the financial profession with a solid grounding in the ethical behavior that underpins financial markets and transactions.Details Select from 2 program formats: an 18-month full-time program that includes a faculty-led practicum or Wall Street/SEC immersion program. a 22-month part-time program designed for working professionals. Preparation for the CFA exams. Access to Bloomberg Terminals. A wide range of scholarship and financial aid options. Offered at USF's San Francisco Downtown Campus (fall and spring semesters). Accredited by the AACSB, the highest standard of achievement held only by 5% of business schools worldwide. Entry Requirements Official Transcript(s) – Upload copies of transcripts from each accredited college or university attended to the online application. If admitted to the program, instructions for sending official, sealed transcripts will be provided. Required Foundation Courses – Microeconomics, Macroeconomics, Accounting, Probability and Statistics, Calculus courses, and knowledge of spreadsheet applications. Résumé – Submit a current résumé demonstrating relevant work experience. Professional MSFA applicants must have a minimum of two years of full-time, post-undergraduate professional experience. Letters of Recommendation – Two letters of recommendation are required. MSFA applicants must submit at least one recommendation from a... [-]
The Financial Analyst Master’s programme provides a balance of theory and case study in courses taught by HSE academic staff who are experts in their fields, as well as outstanding guest speakers from various Russian and global institutions, including CFA Charterholders. Applicants should possess a Bachelor’s degree and a strong background in economics, finance, or mathematics. The programme is conducted entirely in English. [+]
Founded in 1995 as a structural division of HSE, the Banking Institute has offered a wide range of graduate and post-graduate programmes in the fields of banking, finance, investment, management, and law over the years. These have included special corporate programmes for governmental agencies, private companies, commercial banks, and the Central Bank of the Russian Federation, as well as more than 50 customized programmes and short-term courses.
The Financial Analyst Master’s programme provides a balance of theory and case study in courses taught by HSE academic staff who are experts in their fields, as well as outstanding guest speakers from various Russian and global institutions, including CFA Charterholders. Applicants should possess a Bachelor’s degree and a strong background in economics, finance, or mathematics. The programme is conducted entirely in English.... [-]
Intensive instruction in Reims and in Paris in the heart of the markets Stakeholders recognized nationally and internationally. [+]
StrengthsIntensive instruction in Reims and in Paris in the heart of the markets Stakeholders recognized nationally and internationally Certifications FactSet®, Reuters® and integrated Bloomberg®, and access to a trading floor A preparation to CFA® exams The certification AMF (AMF) Internship offers worldwide The high-level professional integration
Terms of admissionsHolders of a baccalaureate level degree 5 or bac + 4 with 3 years experience Possible exceptions to the limit of 30% of the promotion, for candidates with quality courses Professional career reorientation or expansion of jurisdiction
The curriculum500 hours / 12 months 320 hours full time from October to December on the Reims campus 150 hours time-sharing (including 35 hours of preparation for the CFA), 4 days / month (Friday and Saturday) from January to June in Paris 25 hours in New York in May Company mission in parallel (professional contract, internship agreement, CDD, CDI), possibility of international internship Professional thesis ... [-]
Our two-year Master of Financial Analysis is built on knowledge and skills proven to be relevant in the finance industry. It explores both theory and practice to prepare you for a career in the financial sector. [+]
Our two-year Master of Financial Analysis is built on knowledge and skills proven to be relevant in the finance industry. It explores both theory and practice to prepare you for a career in the financial sector. You'll graduate ready to work in investment, banking and finance with a strong grounding in economics, accounting, management and quantitative methodology. The course focuses on security valuation and portfolio management. The curriculum is built around the Chartered Financial Analyst (CFA) Institute's Candidate Body of Knowledge", and prepares you to sit for the CFA exam. There are opportunities to study overseas with our student exchange program. Partner universities include the Copenhagen Business School, the BEM Management School in France and the Berlin School of Economics. Combine this degree with others, such as the Master of Professional Accounting, Master of International Business or an Islamic banking and finance course to expand your employment options, both in Australia and overseas.... [-]
Deepen your knowledge of financial markets and financial analysis in a unique environment. [+]
The operation of financial markets is one of the most complex topics of study due to what underlies them: interactions among human beings, with all of their conceptions and misconceptions about the reactions of other human beings.
This one-year programme provides you with the theoretical background and the advanced mathematical and empirical tools required in advanced financial analysis.
The education aims to provide students with advanced analytical skills suitable to support the financial operations of firms and financial institutions in general. The curriculum is especially designed to match the requirements faced by subjects operating in international markets, taking into account the need for continuous renewal and the constant development of the business environment.... [-]
QEA graduates will be able to use quantitative methods and tools in operational research, decision analysis, statistics and econometrics. [+]
QEA graduates will be able to use quantitative methods and tools in operational research, decision analysis, statistics and econometrics.
They will have gained experience with using different software products and will be able to build comprehensive optimization and econometric models and provide deep statistical analysis.Key fields of study: Curriculum and structure Econometrics Decision Analysis Operational Research Time Series Regression Probability and Mathematical Statistics Insurance Mathematics Core courses 60 ECTS Elective courses 15 ECTS Minor specialization 30 ECTS Study abroad period Optional in 3RD semester State Exams + Defend of Master Thesis 15 ECTS Career Prospects ... [-]
The Master of Financial Analysis provides advanced-level study in a range of contemporary accounting and finance issues. [+]
The core subjects are designed to offer a balanced coverage of accounting, finance and investment topics.
Career options include financial analyst and financial planning positions in the financial services sector, industry and government.[-]
This programme is specially designed for enhancing the current group of accounting graduates or practitioners who may need to further advance, improve their fundamental understanding of the accounting profession and the market needs from the academic perspective. It is a process of preparation as well as upgrading their skills. [+]
This programme is specifically designed to provide:Exposure towards both financial and managerial aspects of accounting. Knowledge of current and latest practices and principles of accounting. In-depth knowledge of accounting concepts and standard procedures. Exposures towards professionalism and ethical standards needed to execute accountabilities and responsibilities in evaluation and decision making. Duration:Full-time (12-18 months)Part-time (24+ months)
Dual Degree Award:Asia Pacific University (APU), Malaysia & Staffordshire University, UK
Admission RequirementsBachelor’s degree in a relevant field with minimum CGPA of 2.75 or equivalent as acceptable by the Senate; OR Bachelor’s degree or equivalent in a relevant field but for CGPA below 2.75; can be accepted provided that the candidates must have five 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 ... [-]
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... [+]
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. ... [-]
Since the year 2000 the IEB has offered the only Master solely focused on the field of Derivatives. Since the end of the 80s, options and futures have become the cornerstone of financial markets. We have [+]
Master in Financial Options and Futures
Since the year 2000 the IEB has offered the only Master solely focused on the field of Derivatives. Since the end of the 80s, options and futures have become the cornerstone of financial markets. We have seen how the convergence process towards the single currency has brought about an important drop in interest rates which ultimately resulted in traditional investment products losing their appeal.
Consequently, the different Investment Banks have sought imaginative alternative investments through the use of derivatives (Guaranteed Funds, Indexed Bonds and Deposits, Equity Swaps, Warrants, etc...). This process implies greater sophistication of financial products in coming years with the aim of achieving a better balance between risk and return for the investor.... [-]
The main goal of our Master in Economic Analysis is to provide a high-level background in Economics to students from all around the world extremely formed and motivated ... [+]
Master in Economic Analysis
The main goal of our Master in Economic Analysis is to provide a high-level background in Economics to students from all around the world extremely formed and motivated. We also want to improve the quality and productivity of the research groups, so the Economics Department provides weekly seminars in Microeconomics, Macroeconomics and Econometrics, and in this way we get an intellectually active and stimulating environment.
Because of our International nature, courses are taken in English, so correct written and spoken English is demanded.
The Graduate Program is part of the European Network for Training in Economic Reserarch (ENTER), an initiative by eight of the leading economics departments in Europe, all of them with international graduate programs: Barcelona (Universitat Autònoma), Brussels (Free University), Mannheim, Stockholm (joint graduate program), Tilburg, Toulouse, UCL and Universidad Carlos III. The network organizes exchanges of research students between the participating departments.... [-]