Master's in Financial Economics in Europe

Top Master's Degrees in Financial Economics in Europe 2017

Financial Economics

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.

Financial economics, which is a subgroup of economics, is a subject dealing with the monetary aspect of trade and commerce. Financial economics focuses on the distribution of economic resources, the influence of economic decisions on the financial market and how to hedge risk when investing.

Europe is, by convention, one of the world's seven continents. Comprising the western most point of Eurasia, Europe is usually divided from Asia by the watershed divides of the Ural and Caucasus Mountains, the Ural River, the Caspian and Black Seas, and the waterways connecting the Black and Aegean Seas.

Masters in Financial Economics in Europe

Read More

Master in Finance

Nova School of Business and Economics
Campus Full time October 2017 Portugal Lisbon

Aimed at developing solid knowledge and analytical, problem-solving competencies in the financial area, the Masters in Finance will give bring students into direct contact with the kind of financial institutions where they will be hoping to start their career. [+]

Top Masters in Financial Economics in Europe 2017. Aimed at developing solid knowledge and analytical, problem-solving competencies in the financial area, the Masters in Finance will give bring students into direct contact with the kind of financial institutions where they will be hoping to start their career. A wide range of electives makes it possible to focus on a specialized area of study during the program, reflecting each student’s personal strengths and preferences, whilst also providing an initial direction for the global finance career on which they will embark upon graduation. A host of international tracks, including a double degree option and an exchange program, offers students the chance to expand their professional network and experience total cultural immersion within another academic institution and country. Mandatory Courses Corporate Finance Financial Econometrics Investments Electives Accounting for Financial Institutions Applied Corporate Finance Applied Derivatives Asset Management Audit and Supervision Techniques Auditing Bank Regulation Banking Corporate Governance Corporate Taxation Corporate Valuation Credit Risk Derivatives Energy Finance Entrepreneurial Finance & Venture Capital Financial Intermediation Financial Modeling Financial Reporting Financial Statement Analysis Fixed Income Futures and Options Hedge Funds International Financial Management International Taxation Macroeconomics of Financial Markets Management Control Systems Managerial Accounting Mergers, Acquisitions, Restructuring Nova Students Portfolio Private Equity Project Finance Real Estate Finance Risk Management Seminar on Current Economic and Financial Issues Workshop Financial Regulation and Supervision Language of instruction The Masters in Finance is delivered entirely in English, including exams, class work, support materials and Work Projects. By graduation, students pursuing... [-]

Official Master's Degree in Finance

ICADE Business School
Campus Full time 10  October 2017 Spain Madrid

This is a full-time pre-experience Master's Degree program offering comprehensive training in finance, not only permiting the student understand economic and finantial phenomena of today, but also enabling them to analyze and manage companies savings and investments. This Master is specially intented for those who would like to work in the finantial sector (including insurance), auditing, consulting and finantial departaments of any company (specially those operating in regulated sectors). [+]

The Official Master's Degree in Finance is offered by the Faculty of Economics and Business Administration at Comillas Pontifical University (ICADE), through ICADE Business School. This is a full-time pre-experience Master's Degree program offering comprehensive training in finance, not only permiting the student understand economic and finantial phenomena of today, but also enabling them to analyze and manage companies savings and investments. This Master is specially intented for those who would like to work in the finantial sector (including insurance), auditing, consulting and finantial departaments of any company (specially those operating in regulated sectors). WHAT MAKES US DIFFERENT This programme focuses on a wide professional spectrum –financial sector, insurances, auditing, strategic consulting, corporate finance within companies, etc. More than 90% of graduates manage to work undertaking financial tasks. Renowned among companies, high demand of our graduates. Professional faculty: about 50% of lecturers hold senior management positions. 80% pass rate for CFA I. Option to study this Master's degree just in English or in English and Spanish. ... [-]

Master in Economics

Jaume I University (Universitat Jaume I)
Campus Full time September 2017 Spain Castellón

The world we live in is evolving quickly and in a context of increasing uncertainty. One bad economic decision can have dreadful consequences for the welfare of a country, lead to the expulsion of a company from a market or condemn a family to an unpayable debt. Understanding the [+]

Top Masters in Financial Economics in Europe 2017. The world we live in is evolving quickly and in a context of increasing uncertainty. One bad economic decision can have dreadful consequences for the welfare of a country, lead to the expulsion of a company from a market or condemn a family to an unpayable debt. Understanding the complexity of the economic situation is essential for improving our understanding of the world that surrounds us. The Master’s Degree in Economics from the Universitat Jaume I provides clue aspects which various studies that analyse trends in the employment market highlight as decisive when it comes to finding a quality job: solid training in data analysis and interpretation techniques, and competence in English. Coordinators: Simone Alfarano and Javier Ordóñez. Department of Economics. UJI. Number of credits: 60 ECTS credits Duration: one academic year (October 2017 / September 2018) Mode of study: face-to-face learning (October 2017 / June 2018) Language of instruction: English Price: in accordance with official fees to be announced (2016: 46,20 €/credit) [-]

Masters in Economics and Finance

Ca' Foscari University of Venice
Campus Full time October 2017 Italy Venice

This graduate degree programme produces experts able to proficiently tackle the main financial issues relating to financial markets. [+]

This degree programme offers the possibility to get a double/joint degree with other European Universities. - Double Degree in Economics, Econometrics and Finance (MEEF) with Aix-Marseille University (France) At the end of this study programme, students will be awarded with a double degree: Laurea Magistrale in Economia e Finanza of Università Ca’ Foscari and Master Sciences Economiques (Parcours Econométrie Bancaire et Financière) of Université Aix-Marseille. - Joint Degree in Models and Methods in Economics and Management - Erasmus Mundus (QEM) in collaboration with Université Pantheon-Sorbonne - Paris 1 (France), Universität Bielefeld (Germany) and Universitat Autònoma - Barcelona (Spain). - Double Degree with Master Economie et Ingénierie Financière with Université Paris-Dauphine (France) At the end of this study programme students can be awarded with a double degree: Laurea Magistrale in Economia e Finanza of Università Ca’ Foscari and Master Economie et Ingénierie Financière of Université Paris-Dauphine. Link to the Degree Programme page Link to the apply procedure page Access to the programme Unrestricted, with the evaluation of minimum curricular requirements. Admission requirements To be admitted to this Second Cycle Degree programme, students must possess a proper individual educational background, as well as the minimum curricular requirements. A certified knowledge of English at minimum level B2 is also required. Learning outcomes This graduate degree programme produces experts able to proficiently tackle the main financial issues relating to financial and investment markets. Graduates will be able to seek employment at financial institutions (trade banks, savings management companies, insurance companies) as managers, controllers, analysts... [-]

Master in Financial Markets

Mykolas Romeris University
Campus Full time 18  September 2017 Lithuania Vilnius

The purpose of this programme is to prepare highly qualified specialists of economics who have deep knowledge of modern financial market theories and methods, who are able to renew and apply this knowledge in various situations and can to integrate knowledge of various science fields in independent scientific research, conducted in dynamic country and global economic environment. [+]

Top Masters in Financial Economics in Europe 2017. Why this study programme? The purpose of this programme is to prepare highly qualified specialists of economics who have deep knowledge of modern financial market theories and methods, who are able to renew and apply this knowledge in various situations and can to integrate knowledge of various science fields in independent scientific research, conducted in dynamic country and global economic environment. Entry requirements Bachelor's degree: graduate of university bachelor's studies in any study field can apply to this programme. English language proficiency - the level not lower than B2 (following the Common Framework of Reference for Language approved by the Council of Europe). Distant English language level test is organized for those, who do not possess IELTS or TOEFL certificates. International mobility possibilities Students can participate in ERASMUS+ mobility programme which gives a possibility to study at a university abroad for 1 or 2 semesters and do internship in another country. Career prospects The acquired qualification enables graduates of Financial Markets to work in financial institutions and not financial corporations in the domestic and international markets. Possible future careers are investments portfolio manager, investments consultant, financial adviser. [-]

Master in Finance (MiF)

Sabanci University
Campus Full time 10  September 2017 Turkey İstanbul

The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. [+]

Masters in Finance (MiF) Program The Masters in Finance Program (MiF) is a rigorous, 10-month professional degree program specializing in applied finance. In addition to theoretical foundations, students enrolling in MiF acquire practical knowledge in finance, as well as hands-on training in our state-of the-art Center for Applied Finance Education (CAFE) facility. This unique center in the region is equipped with cutting edge technology and software, creating an up-to-date learning environment for students. Guided by an Advisory Board composed of accomplished finance professionals, our program aims to furnish students with the essential skills of a modern finance specialist. The curriculum consists of a variety of courses in corporate finance and investments, as well as “tools” courses such as financial econometrics and programming. The internship requirement in the later stages of the program helps students apply their acquired knowledge to everyday operations in the finance industry. Practicum seminars provide students continuous contact with the industry and help them plan their careers. These distinguishing aspects of the program serve to fulfill our shared vision, which is to develop the future leaders of the finance industry. Curriculum The Masters in Finance program is designed with a goal of furnishing our students with all of the essential skills for a career in finance. The program delivers a strong theoretical basis, without losing focus on practical applications, and a financial toolbox that provides our students an edge in their careers. The program is enriched with seminars and workshops, offering a contextual knowledge of the financial... [-]

Masters Economy

Yanka Kupala State University Of Grodno
Campus Full time September 2017 Belarus Grodno

Specializations: World Economy, Finance, monetary circulation and credit, Economics and National Economy Management, Economics and Management, Applied Computer analysis [+]

Top Masters in Financial Economics in Europe 2017. Specialization: World Economy Power Master of Economic Sciences Duration of training Full-time - 2 years Language of instruction Russian English Problems of professional master's activity Masters should be prepared to address the following tasks of professional activity: research activities: use of modern science and advanced technology in the field of economy; development of practical recommendations on the use of scientific research; presentation of research results in the form of reports and publications, seminars, conferences; Scientific-pedagogical and educational-methodical activity: preparation and conduct of various types of training on modern scientific theoretical and methodological levels in institutions of higher education; the development of teaching aids; the use of innovative educational technologies in the educational process; management of independent work of students, their leadership in research work; organizational and managerial activities: analysis and development of recommendations for improving the country's national development strategy; assessment of the positive and negative consequences of the state of cooperation with international economic organizations, forecasting the prospects for further cooperation; the use of elements of the economic analysis in the organization of practical work at the enterprises; possession of the techniques and methods of work with the personnel, methods of assessing the quality and productivity of work of the staff; assessment of the costs and results of activities of the organization; innovation: development plans and programs of the organization of innovative activity in the enterprise and their realization; implementation of feasibility study of innovative projects; independent use of modern computer... [-]

Master in Management - Financial Economics

EDHEC Business School
Campus Full time 2 - 4  September 2017 France Lille Nice Paris Singapore United Kingdom London Agde Buona Vista area England + 8 more

Taught on our campus in Nice, Financial Economics prepares students for the demands of the international financial job market. [+]

Taught on our campus in Nice, Financial Economics prepares students for the demands of the international financial job market. It trains students to both managerial and technical skills and offers a rich array of four second-year specialisations leading to the Master of Science. Close ties with businesses Financial Economics benefits from its close ties with leading companies and from the support of our Corporate Programme Sponsors: Société Générale and PwC. International exposure EDHEC Business School has entered into 117 partnerships in 31 countries. Students may complete their last year of study in pursuit of a Diploma in Economics (double-degree) at the University of Cambridge. Research impact The programme benefits from the research conducted by our Research Centres such as the renowned EDHEC-Risk Institute. It offers students an uncommon training ground on which to strive for excellence. [-]