Master's Program in Finance in Sweden

Find Masters Degrees in Finance in Sweden

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.

Sweden, officially the Kingdom of Sweden, is a Scandinavian country in Northern Europe. Sweden borders Norway and Finland, and is connected to Denmark by a bridge-tunnel across the Øresund. Sweden is a developed post-industrial society with an advanced welfare state. The standard of living and life expectancy rank among the highest in the world.

Master's Program in Finance in Sweden

Read More

Master in Accounting & Financial Management

Stockholm School of Economics
Campus Full time August 2017 Sweden Stockholm

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

Best Masters Degrees in Finance in Sweden. 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 August 2017 Sweden Stockholm

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's Programme in Finance

Umeå University, Umeå School of Business and Economics
Campus Full time September 2017 Sweden Umeå

This Master's Programme in Finance is given by the Umeå School of Business and Economics. This program provides a conceptual and analytical framework for understanding and applying financial theory and offers a thorough grounding in finance that its graduates can ... [+]

Master's Programme in Finance, 120 ECTS

This program is given by the Umeå School of Business and Economics. This program provides a conceptual and analytical framework for understanding and applying financial theory and offers a thorough grounding in finance that its graduates can build upon for the remainder of their business careers. Corporate Finance and Credit and Risk Management cover both long-term and short-term financial management for firms. Investments and Financial Statement Analysis provide in-depth insights into the valuation, management, and construction of investment portfoliosWith the exception of some elective courses, the program is offered in English. Level of Education: Second degree studies.... [-]


Master in International Financial Analysis

Jönköping University
Campus Full time September 2017 Sweden Jönköping

Deepen your knowledge of financial markets and financial analysis in a unique environment. [+]

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. All courses in the programme are given in English. Due to the fact that JIBS has an exchange programme including about 180 partner universities, and that the pro­gramme is open to students from around the world, the courses have a diverse international participation of students. This international atmosphere contribu­tes to a broad perspective of the issues discussed in class. This programme is supported by faculty with substantial experience of dealing with financial markets and strong research records in methods required for financial analysis. JIBS has very active research in the fields of international finance, financial economics and statistics, corporate governance, and time series econometrics, with a considerable num­ber of publications within these areas in internationally-renown refereed journals. After graduation This education prepares students for positions demanding advanced analytical skills in finance and statistics. Such positions are mainly found in the financial sectors but are also found in other parts of private and public sectors around the world. The programme also prepares students for doctoral research education. Courses NB Preliminary list of courses Year 1 Autumn Microeconomic Foundations of Economic and Financial Analysis 7.5 credits International Portfolio Management and Investment Analysis 7.5 credits Advanced Security Markets and Financial Contracts 7.5 credits Advanced Topics in Finance 7.5 credits Year 1 Spring Analytical Methods for Economic and Financial Analysis 7.5 credits Derivatives Securities 7.5 credits Master Thesis in Business Administration 15 credits Facts Credits: 60,0 Level: Master's Rate of study: Full-time Place of study: Campus-based Language: English Start date: Autumn 2016 Requirements: The applicant must hold the minimum of a Bachelor’s degree (i.e the equivalent of 180 credits at an accredited university) with at least 90 credits in business administration, economics, industrial engineering and management, or equivalent. At least 60 credits must be in business administration and 15 credits in statistics or econometrics. Proof of English proficiency is required. The number of places is limited. Selection is made based on: Academic results from bachelor level studies Letter of motivation GMAT and/or CFA (neither are required, but a good score may strengthen your application) [-]

Master in Financial Engineering

Mälardalen University
Campus Full time September 2017 Sweden Eskilstuna

The MIMA Master's programme in Financial Engineering prepares you for a challenging and successful career in the international world of finance. You will learn to see finance from advanced quantitative perspectives, including the management of financial portfolios and risk analysis in financial markets. [+]

Master in Financial Engineering

The MIMA Master's programme in Financial Engineering prepares you for a challenging and successful career in the international world of finance. You will learn to see finance from advanced quanti-tative perspectives, including the management of financial portfolios and risk analysis in financial markets.

The Programme

This programme has a unique character. It is carefully designed and belongs to the very popular educational area of financial engineering.

Focusing on quantitative computer-based methods of financial analysis, the programme provides an advanced basis in Mathematics and Economics.

The programme is oriented towards financial real-life problems, and the textbooks have been chosen to support this approach. Advanced financial software is systematically used in the teaching. The best students are also involved in research activities and the development of experimental financial software. The programme is a natural continuation of the Bachelor’s programme Analytical Finance.... [-]