Part time Master's Degree in Financial Analysis in Madrid in Spain

Find Part time Masters Programs in Financial Analysis in Madrid Spain 2019

Financial Analysis

In order to successfully obtain a Masters qualification, you will need to obtain a number of credits by passing individual modules. Most taught Masters will have a number of core modules which you must take and pass in order to obtain the qualification. The assessment of research Masters is almost always entirely by a single dissertation module or project.

A Master degree in Financial Analysis will help the graduates develop skills in strategy, risk analysis and management. It will give students a solid background in project development and grant the analytical skills to be competitive in the job market.

Spain (Spanish: EspaƱa) is a diverse country sharing the Iberian Peninsula with Portugal at the western end of the Mediterranean Sea. Spain is considered an exotic country in Europe due to its friendly inhabitants and relaxed lifestyle. The normal duration for University courses in Spain is 4 years, except Medicine and the double degrees, which are 6. Madrid and Barcelona are well known cities around world for its cuisine, vibrant nightlife, and world-famous folklore and festivities.

Madrid City is the capital of Spain. It is a metropolitan area with over 3 million residents. It has an arena called Las Ventas that hosts the annual bullfighting event. The city has many public and private universities.

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Master in Financial Options and Futures

IEB - Instituto De Estudios Bursátiles
Campus Part time 1 year February 2019 Spain Madrid

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 of 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 returns for the investor.... [-]