Compare 17 Masters Programs in Investment
Investment is a broad term that may have different meanings as defined from two major perspectives: finance and economics. From a financial view, investment involves having money in an asset form with the view of getting some capital appreciation. On the other hand, investment in an economic view is related to deferred consumption and saving. Masters degree in Investment is thus based on three basic principles of relevant, academic and rigor knowledge with an international orientation.
Master in Investment is a course that prepares students through the traditional finance while developing their extended expertise in a number of areas. The specialization fields of the course include bond portfolio and equity management, alternative investments, asset/liability management, foreign exchange management, venture capital and risk management. The Masters degree in Investment provides the basis for students to achieve quality knowledge on all concerned theories that have underpinned effective investments and market risk management. The course has a reliable exposure to both theories and practical aspects of the field in real life situations.
Master in Investment shapes students to understand and device quality techniques in investment firms: both public and private. It is a course that requires attention and dedication. The many areas of specialization render students globally marketable with skills undoubted. Students are required to complete 8 core courses and 5 elective ones or an elective course with a research project in Business.
17 Results in Investment Filter
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 wishing to follow a career in financial services, banks, investment and brokerage companies, or companies in the public and private sector.
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
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.
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
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).
The aim of this qualification is for the student to develop applied competence in the mastering, interpretation, reflecting on and application of principles in the broader field of finance. Through the master’s dissertation, a qualifying student shows evidence of scientific research, application of scientific research methodologies and an ability to reflect thereon in the holistic context of finance.
The UTS Master of Real Estate Investment gives investment, property and finance professionals a competitive advantage in the global property investment boom. It deals with the finance, investment, management, valuation and analysis knowledge required to succeed in the global real estate investment sector. Students are able to integrate highly sought-after property and finance skillsets and advance their career.
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 asset management ...
The Master of Applied Finance - Investing program in UAE is an advanced program for students who are interested in focusing on investment and portfolio management. You will study the theory and practice of financial management and gain an in-depth understanding of the global financial system. Using realistic stock market simulations, you will also be introduced to portfolio theory and practice with emphasis on optimal investment decision-making.
A program to train future leaders and academics in economics and management to a high level of expertise in the intersection between applied economics, management, behavioral tools, and digital technologies.
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 anticipation required by current organizations. Financial professionals who are flexible, know how to lead and lead teams, have the right skills to generate value at all times, allocate and distribute financial resources in the most efficient way possible and, above all, contribute in the direction of the company to the time to achieve your goals thanks to its strategic vision.
Become a master of finance and investment with tools and knowledge designed to expand your worldview and act as a catalyst for change and success in a local context.
The Master of Applied Finance (Investing) is for students interested in acquiring an advanced understanding of investment and portfolio management.
The Master of Applied Finance with a double specialization in Investing and Corporate Treasury is for students who are interested in focusing on investment, portfolio management, and corporate treasury.