The benefits of a Masters extend beyond improving your earning potential. They can provide you with personal and professional skills to accelerate your development. They are also an opportunity to differentiate yourself from your peers, many of whom will have similar A-level and undergraduate qualifications.
The field of finance can be broken down into personal, public, and corporate finance. Each subfield focuses on management of assets and debts, often focused on investment banking. Students of finance may keep their education general or specialize in a specific area like accounting or corporate finance.
The people, language, and culture of the Netherlands is referred to as "Dutch". A modern European country today, Netherlands preserved its highly international character and is known for its liberal mentality. The Netherlands has many universities. The country has recently converted their own titles into the bachelor/master system. There are two types of universities: Academic (focussing more on theoretical knowledge, aka "Universiteit") or Applied Sciences (focussing more on practical knowledge, aka "Hogeschool")
The capital city of Netherlands, Amsterdam has well known universities such as the University of Amsterdam and Universiteitsbibliotheek Amsterdam. These educational institutions tend to provide diversified graduate and post graduate degree programs, and they have top notch Research and Development facilities.
Top Masters in Finance in Amsterdam in the Netherlands
The Master’s program in Stochastics and Financial Mathematics at Vrije Universiteit Amsterdam trains you in the full depth and breadth of the field, expanding your abilities and insights and enhancing your opportunities in the job market. [+]
Master in Stochastics and Financial Mathematics
Stochastics examines phenomena in which chance plays a central role, such as the result of a general election, fluctuations in share prices or the interactions between molecules in a living cell. If you opt for the Master’s program in Stochastics and Financial Mathematics, you will be trained to become a world-class expert in both theory and relevant areas of application. The Master’s program in Stochastics and Financial Mathematics at Vrije Universiteit Amsterdam trains you in the full depth and breadth of the field, expanding your abilities and insights and enhancing your opportunities in the job market.
The program in a nutshell... [-]
The Quantitative Finance program is an 84-credit Honours Track that is part of the Master’s program in Finance. You will take three core courses in finance (Investments, Derivatives, and Quantitative Risk Management), and three advanced methodological core courses in econometrics and financial mathematics. [+]
Master in Finance: Honours Program Quantitative Finance
The Quantitative Finance program is an 84-credit Honours Track that is part of the Master’s program in Finance. You will take three core courses in finance (Investments, Derivatives, and Quantitative Risk Management), and three advanced methodological core courses in econometrics and financial mathematics.You can select three electives from the Master’s programs in Finance, Econometrics, Mathematics, Business Studies, Economics, and others. This freedom of choice allows you to select your own specialization and create your own career profile. You will be able to emphasize fundamental, methodological subjects or focus on the application of the advanced methodology.In the course of one year you will attend lectures, complete case study assignments, give presentations and conduct extensive research assignments. The program is taught in English. Graduates receive the title of Master of Finance.... [-]
This Master’s program provides conceptual frameworks and practical insight, both of which are vital to grasping how management and markets operate in the financial sector. [+]
Master in Finance
If you are interested in gaining a better understanding of how financial management and financial markets work, the Master’s in Finance at VU University Amsterdam is an excellent place to start. This Master’s program provides conceptual frameworks and practical insight, both of which are vital to grasping how management and markets operate in the financial sector.
The aim of the program The Master’s program in Finance gives you a thorough basis for a good start as a finance professional. The first blow is half the battle. This program raises your level of knowledge in Investments and Corporate Finance, educates you on how to apply this knowledge in practice (cases) and trains you in creating new knowledge at the cutting edge of current academic thought. The first two learning goals are integrated into four compulsory courses (Corporate Finance, Empirical Finance, Asset Pricing & Investments and Financial Markets & Institutions) and two or more elective courses which enables you to specialize further.Both individually and in teams, you will work on academic research projects answering real-life questions raised in the world of finance. Finance can only become your second nature if you are able to acquire, apply and create knowledge simultaneously.... [-]
The MS - Master of Science in Financial Management program is taught in English. Core courses include Financial Statement Analysis, Cost-Volume-Profit Analysis, etc. [+]
Level 500GCCFM501 - Financial Statement Analysis (2) GCCFM502 - Cost-Volume-Profit Analysis (2) GCCFM503 - Budgeting (2) GCCFM504 - International Financial Management (2) GCCFM505 - Mathematics of Finance (2) GCCFM506 - Working Capital Management (2) GCCFM507 - Mergers and Acquisitions (2) GCCFM508 - Capital Budgeting (2) Comprehensive Cases in Financial Management (2) Research Project in Financial Management (2)
Level 600Thesis in Financial Management (8) Capstone Project in Financial Management (4) (for Dual Master students only) Admission requirements
Proficiency in the English language (refer to the admission section for further details)... [-]