Find Masters Programs in Investment in Europe 2019
A masters is awarded to students who have completed postgraduate level study in a specific field of study or area of professional practice while demonstrating a high level of mastery during the process.
The Master in Investment degree is designed for students seeking employment in the ever changing investment and finance industry. Students will gain more than a business education, but will also develop a deep understanding of investment theories, tools, and practices.
View all Master Programs in Investment in Europe 2019
Moscow State University of Economics, Statistics and Informatics MESI
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 eve
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 Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management
Master in Financial Markets and Asset Management (on-line)
This Master program has multiple objectives. On the one hand, has as its fundamental objective to deepen those aspects that are essential for understanding the stock market in particular and financial markets in general. On the other hand, the Master program is useful both for those without experience who want to enter the exciting world of Financial Markets to those professionals who want to achieve more robust from a technical standpoint.
Objectives and Methodology
The Master program is designed to maximize the wizard using the most advanced tools that allow companies to assess, calculate the price of a bond pricing options for different models, build a system to manage different types of assets, graph through a different excel sheet strategies market using options and futures, etc ... Finally, the Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management simulations in real time. ...
The Master of Banking, Investment, and Finance provides specialized and high-level knowledge in the sciences of Banking, Investment and Finance in people working or wishi
The Master of Banking, Investment, and Finance provides specialized and high-level knowledge in the sciences of Banking, Investment and Finance in people working or wishing to follow a career in financial services, banks, investment and brokerage companies, or companies in the public and private sector.
The Master of Banking, Investment, and Finance combines theoretical training provision so that students are able to deepen their scientific developments in the field, with practical training approach to the analysis of real situations. Practical exercises include analyzing the financial performance of companies, formulating and implementing investment strategies, measurement, and management of market and credit risk, measuring the value of shares and businesses, training strategy and financial evaluation of alternative financial resources and investment. All students are required to prepare a dissertation....
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 corners
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....
This is the first Master in Spain exclusively focused on Portfolio Management. It satisfies the existing demand in the Spanish market that arises from the growing sophist
Master in Portfolio Management
This is the first Master in Spain exclusively focused on Portfolio Management. It satisfies the existing demand in the Spanish market that arises from the growing sophistication in portfolio management that results from new financial instruments available to the manager (options, futures, swaps, strips, etc...).
In addition, the Programme not only goes into the details of the characteristics of those assets most traditionally used by managers (fixed income, equity, etc...), but also describes in depth newly appeared funds which are currently available to the manager or final investor ( REITs, Venture Capital Funds, mortgage-backed, guaranteed return funds, second-generation structured products, etc...)....
Throughout recent years, Investment Banking in general and Corporate Finance, in particular, have considerably evolved. Firstly, big Corporations require greater added va
Master in Corporate Finance and Investment Banking
Throughout recent years, Investment Banking in general and Corporate Finance, in particular, have considerably evolved. Firstly, big Corporations require greater added value new services from the banks they work with. Secondly, companies are confronted by the wide diversity and sophistication of the financial operations that require tailor-made and personalised treatment. In addition, it is ever more obvious that Investment Banks are obliged to convert themselves into Global Banks capable of meeting any request from either companies or private investors.
So, the specialised professionals in this area, as well as financial departments of companies, have seen how the financial tools required to meet their new needs have become considerably more complicated; training in this field is, therefore, more than ever before, a necessity....
INISEG Instituto Internacional de Estudios en Seguridad Global
The Master in Detection, Management and Prevention of Hybrid Threats is an official degree of II livello (second level) of the Pegasus University of Italy that gives acce
The Master in Detection, Management and Prevention of Hybrid Threats is an official degree of II livello (second level) of the Pegasus University of Italy that gives access to the doctorate due to its adaptation and reception to the Bologna plan and the European Higher Education Area ( EHEA).
This official master's degree in hybrid threats arises from the current great need to offer effective multidisciplinary responses to an innovative and global phenomenon of high complexity since the proliferation of hybrid threats puts at risk the institutions of our democratic societies, which require a high degree of professionalism when facing them.
The objective of this master's degree in hybrid threats is to provide a broad theoretical and practical content that allows mastering the most effective and innovative policies and strategies for detection, management and prevention of hybrid threats. Likewise, the student will be able to develop a broader and clearer vision of the current dynamics of the digital society and the global world that surrounds us....
The Master in Financial Markets and Exchange form high-level specialists in the financial area, covering practically the tools to make the right analysis and financial as
Master Online - Financial Markets
The Master in Financial Markets and Exchange form high-level specialists in finance, addressing practically necessary for proper analysis and financial asset management tools.
What are the program objectives?
The objective of the Master in Financial Markets is to provide the knowledge and tools necessary to achieve a theoretical and practical knowledge of financial markets and specifically the stock market. Students will learn the structure of a financial system and analyze the pool of assets, markets and intermediaries that comprise it.
Why Choose Us?
The online learning methodology is based on the "case method", video classes, virtual sessions and interactive exercises, ensuring practical training and student participation, focused on solving problems and not just in the knowledge acquisition. The faculty is formed by professors and professionals in the company with extensive experience in the subjects taught and recognized prestige. Customized training of the European Institute Graduate, allows daily monitoring of the student and ongoing support from tutors through a weekly schedule of activities....
The Master in Stock Exchange and Financial Markets is designed to prepare financial managers who know how to deal with economic changes with the necessary solvency and an
In recent years, the evolution of the world economy and financial markets has been affected by five factors:
The growing globalization of economic activity in general and of financial activity in particular.The accelerated process of economic and financial concentration.The increase of business competitiveness.The liberalization of markets.Changes in the management of companies, increasingly oriented to the creation of value.
These characteristics have given rise to the appearance of new products and financial markets, as well as to important changes in the techniques of financial resources management. The main consequence is that there have been profound transformations in the functions and objectives of the financial departments....
The Master's Degree course in Investment Strategy and Internationalisation is an innovative course in the international panorama and has been designed for graduate degree
The Master's Degree course in Investment Strategy and Internationalisation is an innovative course in the international panorama and has been designed for graduate degree holders of different areas who want advanced and in-depth knowledge of International Management. Competencies obtained are nuclear for the practice of management, which is increasingly international and global.
The globalisation of world commerce, communications, financial markets and transports has given birth to a new world order, which can be seen reflected in the way companies are managed.
The Master's course aims for the development of technical competencies and behavioural competencies appropriate for business management and to be able to meet challenges posed by international companies. In addition, the course ensures a preparation for its students which is focused on all aspects related to a borderless world of business management....