Masters Degree in International Finance in Norway

View all Master's Programs in International Finance in Norway

International Finance

A masters refers to the completion of a graduate study program that prepares students to further their knowledge of a specific subject or advance their careers. The majority of masters are granted by state or public universities.

A course of study in international finance focuses on educating financial professionals to work at a global level of monetary institution analysis and management. Programs in international finance may take into account the scheduling needs of working students.

Norway, officially the Kingdom of Norway, is a Scandinavian unitary constitutional monarchy whose territory comprises the western portion of the Scandinavian Peninsula, Jan Mayen, the Arctic archipelago of Svalbard and the subantarctic Bouvet Island. Higher education in Norway is offered by a range of seven universities.

Masters Degree in International Finance in Norway

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Master's in Finance

NHH Norwegian School of Economics
Campus Full time August 2018 Norway Bergen

Degree: MSc in Economics and Business Administration [+]

Top Masters Degrees in International Finance in Norway. Degree: MSc in Economics and Business Administration ECTS credits: 120 Duration: two years The programme prepares students for a wide range of outstanding career opportunities within financial services, consulting and auditing. The portfolio is designed and taught by NHH’s internationally recognised finance faculty, whose academic research and industry knowledge ensure that the courses are relevant and of high quality. The courses combine a rigorous theoretical approach with relevant applications and students will develop a deep understanding of the theoretical framework and empirical evidence in finance. You will learn to analyse real-life problems related to financial markets and financial decision-making in firms, and to apply principles at the research frontier. Upon completion of the programme, you will possess skills for performing investment analysis and valuation, evaluating portfolio management strategies and techniques, and making corporate finance decisions and risk management considerations. ... [-]