Master Program in Financial Analysis in Jönköping Sweden

Best Master's Programs in Financial Analysis in Jönköping Sweden

Financial Analysis

Master-level studies involve specialized study in a field of research or an area of professional practice. Earning a master’s degree demonstrates a higher level of mastery of the subject. Earning a master’s degree can take anywhere from a year to three or four years. Before you can graduate, you usually must write and defend a thesis, a long paper that is the culmination of your specialized research.

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.

Sweden (Sverige) is the largest of the Nordic countries, with a population of about 9.5 million. It borders Norway and Finland and is connected to Denmark via the bridge of Öresund (Öresundsbron). Sweden has a strong tradition of being an open, yet discreet country.

Jönköping city is located in the South region of Sweden in Jönköping County. It is an agricultural town with over 90,000 residents. Jönköping has 3 universities.

Best Master's in Financial Analysis in Jönköping in Sweden

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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. [+]

Master's Degrees in Financial Analysis in Jönköping Sweden. 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... [-]