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.
Hungary is a landlocked country in Central Europe. It is situated in the Carpathian Basin and is bordered by Slovakia to the north, Ukraine and Romania to the east, Serbia and Croatia to the south, Slovenia to the southwest and Austria to the west.
Budapest is the capital city of Hungary and the ninth largest in the European Union. As the largest in the country, it serves as a center for commercial and industrial activities among others. It has close to twenty institutions of higher learning within its borders.
Top Masters Program in Finance in Budapest in Hungary
Finance has long been a key competency of CEU Business School. Indeed, finance is among the most popular specializations in our longstanding MBA program. Building on this foundation and [+]
Masters in Finance
Finance has long been a key competency of CEU Business School. Indeed, finance is among the most popular specializations in our longstanding MBA program. Building on this foundation and experience, we a have launched a new Master of Science in Finance program.
The program has been designed from the ground up to serve twenty-first century financial professionals around the world. It is an intensive, 7-month-long program. Its accelerated nature allows you to earn a degree that will significantly enhance your career with minimal interruption to your professional life.
The program encompasses a mainstream and altogether modern finance curriculum and also offers alternative finance approaches, thereby demonstrating the heterogeneity of finance today in established and emerging markets. The program covers psychological/cognitive aspects and the social impact of finance at both the macro and micro levels. Courses generally include cases, as well theory, and the cases concentrate on the most effective finance practices, particularly in emerging economies.... [-]
The deed description of the qualifications: Chartered Financial and Insurance Mathematics Economics (Actuarial and Financial Economist, Mathematician). who finance, accounting, economic analysis ... [+]
The deed description of the qualifications: Degree in economics of insurance and financial mathematics (Actuarial and Financial Economist, Mathematician)
Who is waiting for the Insurance and Financial Mathematics Master's violence?
The insurance and financial mathematics masters are waiting for specialist
• those who finance, accounting, economic analysis or applied economics undergraduate acquired theoretical and methodological want to deepen their knowledge of public and private sectors in the insurance & eac ute, and expand knowledge of the financial sector;
• who are the other disciplines (mathematics, physics, information technology etc) earned Bachelor and Master level knowledge of the disciplines associated with wish, master-level math skills in insurance and financial gain. ... [-]