Master's Program in Investment

Best 16 Master's Degrees in Investment 2017

Investment

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.

 

The skills and knowledge built throughout an education in investment are usually valuable in the job market. This educational pursuit could result in students going on to obtain secure, stable careers like financial consultant, financial advisor, and investment performance analyst.

Master's Degree in Investment

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Dual MSc & MA in Finance and Investment

InterActive
Online Full time Part time 18  Open Enrolment United Kingdom UK Online + 1 more

Enhance your career in the finance, banking or investment industries with the dual online MSc & MA in Finance & Investment from the International Telematic University UNINETTUNO in partnership with Geneva Business School, delivered 100% online by InterActive’s industry-leading educational platform. [+]

Master's Programs in Investment. Dual MSc & MA in Finance and Investment Enhance your career in the finance, banking or investment industries with the dual online MSc & MA in Finance & Investment from the International Telematic University UNINETTUNO in partnership with Geneva Business School, delivered 100% online by InterActive’s industry-leading educational platform. Students will receive comprehensive training in all aspects of global financial markets, global financial investment strategy and international banking. Graduates will be equipped with the tools required to compete effectively in the world of global finance. With course delivery through InterActive’s advanced online learning platform, you will have access to HD video tutorials, a library of research resources, professional and peer student networks, and student support, all at your fingertips, 24/7. And with the option of a pay-as-you-go fee structure, you can earn your degrees in as little as 18 months. Course Requirements To be considered for the following programme you must meet the following requirements: Undergraduate degree (2:2 minimum) or equivalent Where English is not a first language, and the Student has not completed their undergraduate degree in English, the following proof of English language proficiency is required: TOEFL-IBT score of 78 or TOEFL PBT score of 547; or IELTS overall band score of 6 or higher; or Michigan Test equated score of 80 or better. List of documents required on registration: Completed application form Statement of Goals Authentic copies of your qualifications, certificates and complete transcripts for all years of studies A copy of your passport An English copy of your CV/résumé Proof of English proficiency A typed personal statement that answers the questions listed below. Completed statements should be labelled with the Student’s name, academic program, and their contact information, and be submitted via mail, email or fax. Each question should be answered in a minimum of 300 words (1 page): Why are you choosing to pursue a graduate program at this time in your career, and what are you hoping to accomplish by doing so? What strengths do you feel make you a strong candidate for the graduate program? Describe a past or present personal/professional experience that you believe positively influenced your potential to succeed in a graduate program. Intake 5 intakes per year [-]

Online Master of Investment Management and Financial Analysis

Creighton University Online
Online Part time September 2017 USA Omaha

Investing is one of the more complex, competitive, and rewarding areas in finance. Creighton’s Master of Investment Management and Financial Analysis (MIMFA) offers intense and advanced training on investing. [+]

Investing is one of the more complex, competitive, and rewarding areas in finance. Creighton’s Master of Investment Management and Financial Analysis (MIMFA) offers intense and advanced training on investing. With a curriculum designed around all three levels of the Chartered Financial Analyst® (CFA®) exams, and taught exclusively by faculty members who have passed it, this online master’s offers rigorous training that can make the difference between staying where you are and achieving your career ambitions. Even if you don’t plan to pursue your CFA charter right away, you’ll still graduate with a valuable master’s degree and the in-depth investment and financial know-how required of confident investment professionals. Coursework Based on the Real World Instead of focusing exclusively on theory, the online Master of Investment Management and Financial Analysis offers a practitioner-oriented view of finance and investment. Coursework is adapted every year to reflect the rapidly changing world of finance and investment. Areas of study include: - International trade and alternative investments - Financial accounting procedures and their implications - Methods of securities risk and return analysis - Ethics and professional standards [-]

Master of Finance

University of California, Riverside
Campus Full time September 2017 USA Riverside

The new Master of Finance (MFin) program at the A. Gary Anderson Graduate School of Management addresses this substantial unmet demand for trained finance professionals. [+]

Master's Programs in Investment. Globalization, rapid advances in computational technology, unprecedented financial innovation and shifting regulatory regimes have all contributed to additional job opportunities for finance professionals with education beyond a bachelor's degree. The new Master of Finance (MFin) program at the A. Gary Anderson Graduate School of Management addresses this substantial unmet demand for trained finance professionals. By providing a comprehensive overview of the entire field of finance, with an emphasis on empirical methods and applications, the three-quarter (48 quarter units) MFin program will enable finance executives to gain the specialized expertise required for professional advancement, and prepare students who seek to pursue professional certifications in finance including all levels of the CFA and GRP. Some possible career paths for MFin students: Investment management Investment banking Corporate finance Private wealth management Risk management Asset Management Quantitative Research Equities Trading Application Deadlines Fall 2017 Admission Priority round:December 15, 2016 Second round: January 31, 2017 Third round: March 1, 2017 Final Deadlines: International: May 1, 2017 Domestic: June 1, 2017 Master of Finance Admission Criteria The Master of Finance program is open for admission to all students. The program is best suited for students with a sufficient quantitative background to enable successful completion of the program. The most appropriate undergraduate majors include business, engineering, mathematics, statistics, and physics, among others. Students with less quantitative backgrounds may also apply, but should expect to use electives to develop quantitative background or to take additional courses. We consider each applicant's professional, academic, and life experiences in addition to character and personality. Admission to the program is based upon several criteria, including the quality of previous academic work, personal essays and letters of recommendation, and Graduate Management Admission Test (GMAT) or Graduate Record Exam (GRE) performance. The GMAT or GRE is required for all applicants. [-]

Master of Finance - Investment Management

The Hong Kong Polytechnic University Faculty of Business
Campus Full time 1 - 2  September 2017 Hong Kong

The full-time day-time Master of Finance – Investment Management (FT MoF-IMM) programme aims to provide degree graduates who would like to specialize in investment management, particularly those with no or little work experience, with a [+]

Master of Finance - Investment Management (IMM)

The full-time day-time Master of Finance – Investment Management (FT MoF-IMM) programme aims to provide degree graduates who would like to specialize in investment management, particularly those with no or little work experience, with a combination of solid finance concepts and up-to-date industry know-how. Furthermore, the programme prepares students for the Chartered Financial Analyst (CFA®) examination.

Programme Outcomes

On completion of the FT MoF-IMM programme, graduates will be able to:

understand conceptual frameworks drawn from Accounting, Risk Management, Economics, Quantitative Method and Law to the analysis of investment and corporate finance issues. solve asset management/corporate finance problems as they present themselves in real-life situations. formulate financial strategies and policies. envision possible outcomes on financial and strategic recommendations, and to evaluate the performance in a relevant and effective way. ... [-]

Executive Master in International Finance (MIF)

Amsterdam Business School
Campus Full time Part time 1 - 2  September 2017 Netherlands Amsterdam + 1 more

The Master in International Finance (MIF) is an executive MSc degree (for candidates with work experience). The MIF programme introduces you to cutting-edge developments in international corporate finance, banking, and asset management. The course curriculum aims to prepare students for a professional rather than an academic career. [+]

Master's Programs in Investment. Boost your career in Finance and Banking Master in International Finance (MIF) is a postgraduate and postexperience programme that offers cutting-edge developments in Corporate Finance & Valuation, Investment, Financial Modelling, M&A, Asset Management and Risk Management. See more: http://youtu.be/YiEnZy3ZnjY Full-time, part-time or modular The programme allows you to study full-time (12 months), part-time (18-24 months) for working students or to study modular. All courses are conducted in English and organized 2-3 evenings during weekdays (Monday-Thursday). International Study Trip Every year we organise an International Study Trip to Cape Town, South Africa. Theme of this trip is: 'Finance in emerging markets'. Linking theory to practise Our lectures are from the academic field and from our network of experts from the financial services industry. This guarantees a practical relevance through their involvement in the development of courses and guest lectures. Careers During the one- or two-year MIF programme, you will be guided by the Careers Services Manager to define and plan your career path. Our Career Service Manager placed 90% of the MIF class of 2015 before graduation. Watch our video: http://youtu.be/9G-l84oaTkc Alumni and students We are running the programme since 1996. Our MIF alumni are a diverse community of high achievers connected by a shared experience. Visa and Housing Moving to a new city and beginning a new study should be a happy and exciting experience. The University of Amsterdam has a number of services and support facilities to ensure this is the case. Fees and ScholarshipsThe tuition fee for the full- and part-time programmes starting in (end of) August/September 2017 is €26,900. CFA and CAIA The Master in International Finance is intensively working together with the following Programme Partners Chartered Financial Analyst Society (CFA) Chartered Alternative Investment Analyst Institute (CAIA) The Amsterdam Business School A business school’s accreditations form an important indicator of the quality of the school and its programmes. We can proudly report that the Amsterdam Business School is accredited by both EQUIS and AACSB, the world’s leading accreditation for business schools. The MIF programme is accredited also by the Dutch-Flemish accreditation body NVAO. Watch our video: http://youtu.be/eQReh0fVAtk Application deadlines Application deadline for candidates: 30 June 2017 for full-time and part-time candidates. We advise candidates from countries outside the EU, Australia, Canada, New Zealand, USA, Japan and South Korea to apply two months before the deadline as these candidates need an entry visa (MVV) and residence permit for the Netherlands. Questions about your admission To receive an indication of your eligibility to the programme please use the CV Quick Scan (see www.abs.uva.nl/mif). For other questions related to your admission, further information and general questions about the Master in International Finance do not hesitate to contact Gosia Herudzinska (Recruitment & Admissions Manager Executive Programmes) at: admissions-mif@uva.nl +31 (0)20 525 4056 Skype: admissions-mif [-]

Masters of Management in Finance (MMF)

McGill University
Campus Full time 12  July 2017 Canada Montreal

The McGill Masters of Management in Finance (MMF) degree is a pre-experience twelve-month specialized program in finance. The MMF program prepares students for a career in finance through a comprehensive curriculum that integrates advanced financial concepts and quantitative methods with real-world business practices. [+]

The McGill Masters of Management in Finance (MMF) degree is a pre-experience twelve-month specialized program in finance. The MMF program prepares students for a career in finance through a comprehensive curriculum that integrates advanced financial concepts and quantitative methods with real-world business practices. The MMF is designed for recent graduates with a Bachelor of Science, Engineering, Economics, Arts or Commerce degree and with proven quantitative skills who aim to work in the finance industry or in the finance function of a business. The program starts this Summer 2016. We are NOW open for applications. Gain real life business experience Throughout the program, Master of Management in Finance students work as analysts at Desautels Capital Management Inc., a licensed and regulated investment management firm with an independent board of directors. Major responsibilities will include covering a sector and managing the DCM firm’s portfolio. Program structure The Masters of Management in Finance consists of eleven courses (33 credits) delivered over six 6-week modules. Concurrently students will also be expected to complete an Integrative Finance Project (12 Credits). Integrative Finance Project BUSA 689 - Integrative Finance Project (12 Credits) The integrative finance project is a core component of the program. It provides the opportunity to immediately put into practice the skills and knowledge that students acquire in the classroom. Students fulfill this requirement in three overlapping stages: Desautels Capital Management Inc. (August to July): Upon entry into the program, students join Desautels Capital Management (DCM) as analysts. DCM is a licensed and regulated asset management firm, with an independent board of directors and external investors. As analysts, students are responsible for a particular sector, identifying investment opportunities, and pitching them to colleagues. In addition, students are responsible for dealing with regulatory issues, compliance, trading and execution, back office settlement, preparation and filing of financial statements, and communication with clients. Professional Seminar Series (August to April): Seminars will be held regularly to expose students to current issues and practices in financial markets. The seminars will be given by professionals from various industries, e.g. hedge funds, pension funds, tax/legal accountants, etc., and will provide unique networking opportunities. Final Project (February to July): Students will work on a finance topic of their choice under the supervision of a faculty member. Throughout the project, students will have the opportunity to think independently and creatively about an important financial topic, apply their quantitative skills, and ultimately showcase marketable skillsets in an area of their interest. Six 6-Week Modules 1st Module: FINE 678 - Financial Economics (3 Credits) This course covers the basic principles of valuation in modern finance and applies them to the pricing of financial securities and to the investment decisions of firms. Topics include interest rates, the valuation of bonds, stocks and options, optimal portfolio choice, the price of risk, and capital budgeting. The course serves as a foundation for the rest of the finance courses in the program. FINE 681 - International Capital Markets (3 Credits) This course provides a comprehensive analysis of international capital markets including the financial assets traded in these markets, e.g., debt securities, equities, and currencies, the performance of the asset management industry, and the in-depth coverage of the recent international financial crises. This course also covers the theoretical models that characterize open economies and that explain how prices, interest rates, inflation, and exchange rates are determined. 2nd Module: FINE 679 - Corporate Finance Theory (3 Credits) This course provides a framework for understanding how firms finance their activities. The course studies the different forms of financing available to firms (e.g., bonds, loans, stocks, warrants), the sources of these funds (e.g., banks, private equity, institutional investors, individual investors), and how firms’ capital structures are shaped by corporate and personal taxes, bankruptcy costs, conflicts of interests between shareholders and debt-holders, and differential access to information in capital markets. Students apply these analytical tools to case studies that emulate real business situations to learn how to design securities to maximize value and to optimize payout policy. FINE 680 – Investments (3 Credits) This course provides the tools to become a successful investment manager. Students learn how to establish appropriate investment objectives, develop optimal portfolio strategies, and evaluate investment performance. The course is designed to be highly interactive and hands-on. Students become proficient in navigating financial data platforms −Bloomberg, Eikon, Morningstar−, executing trades on a state-of-the-art market simulator, developing models of asset allocation, back-testing trading strategies, and producing professional investment reports. 3rd Module: FINE 682 – Derivatives (3 Credits) Derivative securities have become an extremely important part of financial markets and have taken a prominent place in the debates surrounding financial crises, not least after the recent subprime and sovereign episodes. A strong understanding of derivatives is now key for many roles such as corporate treasurers, fund managers, institutional investors, risk managers, traders and, more generally, at any senior management level. In this course, students become familiar with the various derivative markets and uses of their respective products. Valuation and risk management models of these products are dealt with in detail, while remaining focused on practical applications. ACCT 604 - Financial Statements 1 (3 Credits) This course provides an overview of the financial reporting system with an emphasis on the conceptual background and tools required to understand, analyze, and exploit the information contained in financial statements. The course combines lectures on concepts and methods with practical cases in which students apply the learned tools to real business situations. The course also provides the understanding of how alternative practices in financial reporting affect corporate financing and investment decisions. 4th Module: FINE 683 - Advanced Corporate Finance (3 Credits) This course studies the critical steps in the financial and economic maturation of a firm: venture capital financing rounds, initial public offerings, leverage buyouts, mergers, divestures and spin-offs. On each of these topics, the course offers an in-depth analysis of the process, of the parties involved and on the sources of gains and inefficiencies. The course also uses these operations to illustrate a series of advanced topics in corporate finance, namely, the corporate governance of firms, the role of risk management, the impact of product market competition on funding choices, and the relationship between trading in financial markets and firms' financial decisions. All these issues are approached through different angles, i.e., lectures, case studies, simulations, and interventions from the practitioner community. FINE 684 - Fixed Income Markets (3 Credits) Fixed income markets, the largest financial marketplace in the world, involve a large and diverse set of participants and market structures. In this course, students acquire a thorough grasp of fixed income instruments and their use in asset management, financial engineering, and risk management. The course covers fixed income mathematics, risk concepts, term-structure analysis, credit risk modeling, and derivatives valuation. In addition, significant time is spent on the most recent market developments such as mortgage-backed securities, securitization and credit derivatives. 5th Module: FINE 685 - Market Risk Management (3 Credits) Corporations and financial institutions face a plethora of risks, and finance professionals need the know-how to measure and manage these risks. In this course, students acquire the tools to critically appraise commercially available risk management systems and to understand the use of derivatives in risk management. The course covers state-of-the-art risk measurement and management techniques and the technical skills required to implement them. FINE 688 - Mergers and Acquisitions (3 Credits) The objective of the course is to gain an understanding of the reasons firms engage in merger and acquisition activities and the processes used to successfully accomplish and create shareholder value from these activities. Topics include valuation in merger and acquisitions, joint ventures and alliances, cross-border M&A, and divestures. 6th Module: FINE 673 - Finance Fundamentals (3 Credits) This course provides tools for quantitative data analysis in Finance and serves as a stepping stone to the research thesis, which is a part of the Integrative Finance Project. The course is applied and project-based. It exposes students to the full production line of data analytics, including the identification and collection of data, proper statistical analysis, and the presentation of the analysis to a variety of audiences. Students learn how to improve decision-making from using data analytics, and also how to recognize and avoid pitfalls of complex data analysis (e.g., data mining, measurement problems, sampling error, and model misspecification). Applying to the MMF Program You are about to make the right decision. The McGill Master of Management in Finance is designed for high-achieving, ambitious students interested in a career in finance. Admissions criteria and decisions are based on the following components: An undergraduate degree and any further academic qualifications. Relevant work experience is not required. Completion of the Graduate Management Admissions Test (GMAT) or the Graduate Record Examination (GRE). Applicants with an graduate or undergraduate degree from McGill are exempt. In addition, applicants who completed their undergrad degree in an university where the language of instruction was not in English are required to complete the TOEFL or IELTS. The admissions committee will also carefully review your essays and letters of reference. Only qualified applicants will be called for an interview with a member of the admission team. Career Resources Located in the Soutar Career Centre, Career Services at the Desautels Faculty of Management is dedicated to helping students develop their career management skills and explore career paths that enable them to ultimately achieve their career goals. Innovative programs, workshops and speaker series coupled with an integrated learning approach prepare our students and give them the skills to make an impact in their careers throughout their lifetime. Career services works closely with you from Day 1 to help you: Define your career strategy Improve your CV & Cover Letters Network with McGill alumni and Employers Practice and acing the interview techniques Negotiate a job offer to achieve your best interest Career Outlook By Industry Finance Consulting Others Investment Management Management Technology Diversified Financial Services Mergers & Acquisitions Telecommunications Commercial Banking Financial Strategy Media Investment Banking - Energy Private Equity - Real Estate Venture Capital - Insurance Private Wealth Management - Government & Public Policy By Function Finance Consulting Asset Management Management/Strategy Consulting Risk Management Financial Services/Economic Consulting Quantitative Analysis - Research - Mergers & Acquisitions - Securities Issuance - Advisory - Corporate Finance & Treasury - Sales & Trading - Venture Capital - If you have any questions, please feel free to email us at mmf.mgmt@mcgill.ca [-]

Master of Finance, Banking, and Investment

Matej Bel University
Campus Full time September 2017 Slovakia Banská Bystrica

Graduates of this programme can perform a wide range of jobs in a host of different industries and other sectors of both the national and international economies. [+]

Master's Programs in Investment. Graduates of this programme can perform a wide range of jobs in a host of different industries and other sectors of both the national and international economies. Although the largest share of the graduates work in financial institutions, they are also to be found in other businesses and organizations in both the private and public sectors, including customs and tax authorities, other government bodies at all levels, and in the field of tax advice. The fact that the study programme is taught in English or French and at the same time includes the participation of foreign universities gives students a chance to improve their language skills and professional preparedness, and it also enhances the market reputation of their qualification, the standing of the Faculty of Economics of Matej Bel University and its partner universities. The structure of the programme and its component courses together with the expertise and research experience of the teachers allow students not only to prepare for professional practice, but also to learn how to become expert researchers and teachers in the fields of financial management, international finance, international accounting, banking, monetary theory and policy, and financial markets. Theoretical knowledge Graduates of the programme are able to find and present their own solutions to problems in theoretical research, and to apply creatively their theoretical knowledge to practical solutions. They will have deep knowledge of the modern economic theories of money and finance, financial analysis and forecasting, and policy analysis. Practical skills Graduates will have the practical skills to work as analysts, financial managers, or management advisors in both public and private organizations at home and abroad. They can analyze and explain the development of specific financial and monetary policies as well as the integration processes in Europe and worldwide. APPLICATION FORM Please, fill in the appropriate application form, sign it and enclose following documents: - curriculum vitae - payment of admission fee and document of payment - photocopy of passport and Applicants from EU countries: - secondary school leaving certificate (for study of Bachelor - first degree) or Certificate of Bachelor degree (for study of Master - second degree) translated to english - notarized copy Applicants from countries outside EU: - secondary school leaving certificate (for study of Bachelor - first degree) or Certificate of Bachelor degree (for study of Master - second degree) TRANSLATED to english and SUPERLEGALIZED - it means comfirmed by Ministry of education, Ministry of Foreign affairs, Ministry of Justice and Slovak Embassy. For applicants from the countries that have ratified the Convention on Demand of Higher Authorisation of Public Records Cancellation applicable in the Slovak Republic, one special certificate (apostille) granted by the competent authority will be sufficient for approval of the education certificate plausibility. Please, send all documents until: MARCH 31, 2017- Master study [-]

Master in Investment Strategy and Internationalization

ISG Business & Economics School
Campus Part time October 2017 Portugal Lisbon

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 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. Objectives The Master's course aims for 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. Furthermore, the academic training is complemented and characterised by its articulation between professionalism, research and application. Access Graduate Degree holders who want to develop their conceptual capacities, gain solid analytical skills and be up-to-date so as to enable them to work effectively in the area of Management and International Business Management. Recognition & Restructured Curriculum The Curricular structure and Plan of Studies (Syllabus) of the Master Degree in Investment Strategy and Internationalisation was recognised under notification No. 11039/2011, published in the Diário da República, the official gazette, 2nd Series, No. 96, dated 18 May 2011. Duration 2 years/4 semesters Schedule Evening classes Credits 120 ECTS [-]

Master of Real Estate in Finance and Investment

Asia Pacific University of Technology & Innovation (APU)
Campus Full time Part time 16 - 60  January 2017 Malaysia Kuala Lumpur + 1 more

This Master of Real Estate in Finance and Investment programme offers a holistic understanding of the operations in real estate markets and investments. It provides graduates with the specialist knowledge and skills needed to research, analyse and advise on investment decisions accordingly. [+]

Master's Programs in Investment. Master of Real Estate in Finance and Investment Today, professionals working in the real estate investment market face many challenges. The global nature of the property market, rapid developments in research tools and business practice, new competition from those operating in the broader investment markets and the development of alternatives to direct property investment all add new dimensions to the role of the property professional in this field. Thus professionals need to enhance their knowledge and skills. This Master of Real Estate in Finance and Investment programme offers a holistic understanding of the operations in real estate markets and investments. It provides graduates with the specialist knowledge and skills needed to research, analyse and advise on investment decisions accordingly. Admission Requirements Bachelor’s degree with minimum CGPA of 2.50 or equivalent as acceptable by the Senate; OR Bachelor’s degree or equivalent but for CGPA below 2.50; can be accepted provided that the candidates must have 5 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 This programme is designed for those wishing to pursue a career in the real estate investment and finance business. Graduates will be able to perform investment analyses of individual real estate investments and portfolios and conduct market analysis. It provides those from varied professional and academic backgrounds with an entry into the real estate profession while also enhancing the knowledge and skills of those already employed in the field. It thus ensures graduates have the knowledge they need and can apply it within today’s real estate industry. The Benefits of This Programme On successful completion of this programme, you will be able to: Understand the property market scenario, and model a solution using the financial theoretical tools and analysis. Develop, through practical experience, in a multi-cultural environment, the knowledge, social skills and confidence to pursue a successful career in the property related industry. Develop skills in innovation, ingenuity as well as capability in problem solving in decision making especially at the managerial level. Manage, plan and control in complex and unpredictable contexts, the processes and stages involved in innovating solutions to problems. Develop skill related to business communication and effective business writings. Programme Modules & Project / Dissertation The modules of this programme aims to impart practical and theoretical understanding of real estate finance and investment, valuation, appraisal, development and management which will allow students to examine critically current practice and apply, to issues that face property professionals. Core Modules Optional Modules* Quantitative Methods For Decision Making Securities, Futures & Options Financial Regulation & Regulatory policy Real Estate Economics & Market Analysis Real Estate Finance & Investments Real Estate Valuation: Principles & Application Real Estate Investment Analysis Real Estate Portfolio Management Fixed Income & Equity Investment Research Methodology Dissertation OR Real Estate Development Real Estate Management Real Estate Accounting & Taxation Project Paper/Case Study Dissertation Training in research methods, through the Research Methodology Module, in addition to close supervision, will encourage you to develop your research skills so that you can complete your dissertation or project paper efficiently. The dissertation helps you develop the kind of skills you will need for work in a variety of careers, as well as to develop your specific ability to research and analyse academic problems. The research preferably focus on the issues related to the financing and investment of property either locally or internationally particularly with reference to its policy’s implication. The main purpose of this dissertation/project undertaking is to allow you to explore your area of interest and to apply the right approach or methodology to arrive at the rightful solutions that best suit or solve the problems at hands. Careers after Postgraduate Studies in Real Estate in Finance and Investment Investment Analyst Real Estate Manager Fund Manager Financial Planner Consultant Mortgage Finance Dual Degree Award: APU, Malaysia & Staffordshire University, UK [-]

Master of Real Estate Investment

University of Technology Sydney
Campus Full time Part time 1.5 - 3 

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. [+]

Through this degree students learn to understand and analyse the many sociopolitical, economic, financial and environmental factors that drive property investment decisions in a globalised world. They benefit from the faculty staff's academic research and significant industry experience. A number of the course's sessional lecturers have over 30 years' corporate experience. Students are standout professionals, with a strong record in their industry and recognised qualifications. This calibre of students enables unique networking opportunities and rewarding peer-to-peer learning. Most subjects are offered in intensive blocks that accommodate busy work lives, with the exception of two MBA subjects offered in evening sessions.... [-]


Master in Finance, Investment and Banking

Free International University of Moldova
Campus Full time September 2017 Moldova Chisinau

Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master degree program. [+]

Master in Finance, Investment and Banking

Courses: First semester: Managerial Economics based on problem solving (workshops). Research Methods for Business. Business and Predictive Analytics. Financial Econometrics, Modelling and Risk Analysis. Diplomacy and Negociation in International Business (Romanian, Russian, English, French)/ Strategic Communication and New Software Skills (Romanian, Russian, English, French). Financial markets, Institutions and Services (current topics). Modern Banking Technology and Financial Innovations (current topics). Second semester: Project Management. Risk and Crisis Management. Fraud Risk Management and Anti-Fraud Services: Strategy for preventing, detection and response. Comparative studies: Economic, Financial and Taxation Policies, Reforms and Trends (workshops). Intellectual Property: Policy, Law and Use. Investment and Sustainable Development: Policy, Law, and Institutions Financial Management and Control. National and International Regulation of Capital Markets. Monetary and Foreign Exchange Policy Strategy. Investment and International Retail Banking. Investment Strategy and Portfolio Management. Third semester: Advanced Corporate Finance and Governance (current topics). Credit Risk: Models, Derivatives, Debt and Contracts. Asset Liability Management(ALM) and Risk Management (RM) for Banks/Insurances/Pension Funds. Financial Assets and Business Valuation. Investment Valuation. Administration of Alternative Investment Funds. Hedge Funds: Risk Assessment and Returns. Selected Problems on Finance, Investment and Banking(workshop). Integrative Internship. Fourth semester: MA Thesis / Reading Research. Concept of the specialist training. Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master degree program. The course unities of the 3rd semester are directed to the knowledge implementation. In order to apply the theoretical knowledge in the practical activity, the students perform a five week internship at the end of the third semester. The students elaborate a master thesis at the end of the studies, based on research internship, made in the fourth semester, which initially supposes a defining workshop of the research tasks. The aim and mission of the study program. This Master program offers training in the key areas of investment banking and financial investment. You will be able to understand how financial markets operate, particularly in relation to the aims and operations of banking organizations and institutions. You will also study corporate finance theories and techniques including credit risk management, capital structure and dividend payout policy. It is a rigorous and advanced intellectual training in the area of finance, banking and investment based on the most current and modern academic thinking and industry best practice. The title obtained by the graduate allows him to continue the studies in the third cycle, the Doctorate. Occupational profile of the graduate. As a graduate you will have future career opportunities with various financial institutions including investment banks, hedge funds, financial consultancies and asset management firms.... [-]


Master in Finance

Poznan University of Economics and Business
Campus Full time September 2017 Poland Poznań

The programme focuses on giving the students the knowledge of financial markets and of the processes that govern contemporary local and global finances. [+]

Master in Finance

This is an elite and interdisciplinary program, which encompasses both general and specialist knowledge in the field of economics and management. The students will know how to understand the processes that govern world and local economies and how to use the tools available to make financially responsible decisions.

The program will show students how the financial markets function, how to analyze financial situation of a company, how to make financially responsible decisions. The students will also learn how to secure financially economic activity, how to use the means the company has effectively and how to judge their use.

 

AREAS OF STUDY The program is based on four major areas: * Accounting, selected courses: Corporate and business accounting, Managerial accounting, Tax systems, * Finance, selected courses: Public finance, Corporate finance, Local government finance and EU financial system, Behavioral finance, * Insurance, selected courses: Personal and commercial insurance, * Management, selected courses: Private asset and wealth management, Portfolio management. GRADUATES Because of our analytical approach to the functioning of companies combined with necessary and up-to-date theoretical knowledge graduates of this program have numerous opportunities of employment, for example in: * financial and accounting departments as a financial analysts or brokers, * public sector – various positions, * corporations as advisors, portfolio managers or head accountants, * establishing their own companies. [-]

Master in Finance & Investment Management

University of Aberdeen
Campus Full time August 2017 United Kingdom Aberdeen

This established programme has enabled many students to achieve their finance career or PhD ambitions over the years. It has now been radically revised for 2013/14 to give students the opportunity to take the leading professional qualification, CFA level 1 [+]

Master in Finance & Investment Management

This established programme has enabled many students to achieve their finance career or PhD ambitions over the years. It has now been radically revised for 2013/14 to give students the opportunity to take the leading professional qualification, CFA level 1

Programme Length: MSc(Econ) 12 months full-time

Many students of the course in the past have finished the MSc and then had to take CFA exams as soon as they commenced employment. Attaining this qualification whilst doing the MSc will put graduates of the programme ahead of others competing for jobs in the finance industry and mean they have less professional exams to take once they are working.... [-]


MSc Financial Management And Investment

Moscow State University of Economics, Statistics and Informatics MESI
Campus Full time Part time 4 - 5  September 2017 Russia Moscow + 1 more

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 ever-increasing [+]

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 in Financial Options and Futures

IEB - Instituto De Estudios Bursátiles
Campus Part time February 2017 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 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.... [-]