Master in International Finance in Bergen Norway

Best Master's Degrees in International Finance in Bergen Norway

International Finance

A masters is earned after students complete an undergraduate degree program. To obtain a masters, you usually need to complete 12 to 18 college courses that often involve completing comprehensive tests and/or a thesis.

Specialized education in international finance is recommended for those who want to pursue business in the multinational arena. Application of knowledge learned to the real-life business environment is often a component in this type of education.

Norway (Norge) is the westernmost, northernmost — and in fact the easternmost — of the three Scandinavian countries. Norway is well known for its amazing and varied scenery. The fjords in the west of the country are long narrow inlets, flanked on either side by tall mountains where the sea penetrates far inland. The ultimate responsibility for the education lies with the Norwegian Ministry of Education and Research.

Bergen is located in western Norway and was established in 1070, it is said to be the international hub for aquaculture, shipping and petroleum and nationally it is considered to be the center of higher education, tourism and finance. The University of Bergen offers quality education here.

Best Masters in International Finance in Bergen 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 [+]

Masters in International Finance in Bergen 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. ... [-]