Part time Master Program in Investment in Europe

Top Part time Master Programs in Investment 2017 in Europe

Investment

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.

 

The skills and knowledge built throughout an education in investment are usually valuable in the job market. This educational pursuit could result in students going on to obtain secure, stable careers like financial consultant, financial advisor, and investment performance analyst.

Europe is the sixth largest continent and includes 47 countries and assorted dependencies, islands and territories. It is bordered by the Mediterranean Sea to the south, Asia to the east, and the Atlantic Ocean to the West.

Master's Program Part time in Investment in Europe

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Master - Russian business and investment law

Far Eastern Federal University
Campus Part time September 2017 Russia Vladivostok

Topicality of presented program is defined by recent raise in investing and financial activity performed by corporations of China, South Korea and other Asia-Pacific countries on the markets of Russian Federation and more specifically Russian Far East. In that case we continue to observe growing necessity in widening of Russian legal knowledge among business environment of interested partners. We assume that our considerable role in legal education and research of legal matters may be of invaluable use for foreign partners’ better understanding of Russian private law regulations, comparative legal analysis and both legal and business practice in Russia. [+]

Topicality of presented program is defined by recent raise in investing and financial activity performed by corporations of China, South Korea and other Asia-Pacific countries on the markets of Russian Federation and more specifically Russian Far East. In that case we continue to observe growing necessity in widening of Russian legal knowledge among business environment of interested partners. We assume that our considerable role in legal education and research of legal matters may be of invaluable use for foreign partners’ better understanding of Russian private law regulations, comparative legal analysis and both legal and business practice in Russia.

Program goals

LLM program “Russian business and investment law” (RBIL) designed for training of high-class lawyers employed in companies and organizations performing international business activities and transactions with Russian partners. Structure of program includes general courses on basics of Russian legal system and its specific measurements from one side, and peculiar courses enclosed on legal and business practice in Russian Far East.... [-]


Master in Finance

Nova School of Business and Economics
Campus 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. [+]

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 an International Masters in Finance should be fluent... [-]

Master of Finance, Banking, and Investment

Matej Bel University
Campus September 2017 Slovakia Banská Bystrica

Graduates of this programme can perform a wide range of jobs in a host of different industries and other sectors of both the national and international economies. [+]

Best Part time Masters Degrees in Investment in Europe. Graduates of this programme can perform a wide range of jobs in a host of different industries and other sectors of both the national and international economies. Although the largest share of the graduates work in financial institutions, they are also to be found in other businesses and organizations in both the private and public sectors, including customs and tax authorities, other government bodies at all levels, and in the field of tax advice. The fact that the study programme is taught in English or French and at the same time includes the participation of foreign universities gives students a chance to improve their language skills and professional preparedness, and it also enhances the market reputation of their qualification, the standing of the Faculty of Economics of Matej Bel University and its partner universities. The structure of the programme and its component courses together with the expertise and research experience of the teachers allow students not only to prepare for professional practice, but also to learn how to become expert researchers and teachers in the fields of financial management, international finance, international accounting, banking, monetary theory and policy, and financial markets. Theoretical knowledge Graduates of the programme are able to find and present their own solutions to problems in theoretical research, and to apply creatively their theoretical knowledge to practical solutions. They will have deep knowledge of the modern economic theories of money and finance, financial analysis and forecasting, and policy... [-]

Master in Investment Strategy and Internationalization

ISG Business & Economics School
Campus Part time October 2017 Portugal Lisbon

The Master's Degree course in Investment Strategy and Internationalisation is an innovative course in the international panorama and has been designed for graduate degree holders of different areas who want advanced and in-depth knowledge of International Management. Competencies obtained are nuclear for the practice of management, which is increasingly international and global... [+]

The Master's Degree course in Investment Strategy and Internationalisation is an innovative course in the international panorama and has been designed for graduate degree holders of different areas who want advanced and in-depth knowledge of International Management. Competencies obtained are nuclear for the practice of management, which is increasingly international and global. The globalisation of world commerce, communications, financial markets and transports has given birth to a new world order, which can be seen reflected in the way companies are managed. Objectives The Master's course aims for development of technical competencies and behavioural competencies appropriate for business management and to be able to meet challenges posed by international companies. In addition, the course ensures a preparation for its students which is focused on all aspects related to a borderless world of business management. Furthermore, the academic training is complemented and characterised by its articulation between professionalism, research and application. Access Graduate Degree holders who want to develop their conceptual capacities, gain solid analytical skills and be up-to-date so as to enable them to work effectively in the area of Management and International Business Management. Recognition & Restructured Curriculum The Curricular structure and Plan of Studies (Syllabus) of the Master Degree in Investment Strategy and Internationalisation was recognised under notification No. 11039/2011, published in the Diário da República, the official gazette, 2nd Series, No. 96, dated 18 May 2011. Duration 2 years/4 semesters Schedule Evening classes Credits 120 ECTS [-]

Master of Real Estate in Finance and Investment

Asia Pacific University of Technology & Innovation (APU)
Campus Part time 16 - 60  January 2018 Malaysia Kuala Lumpur

This Master of Real Estate in Finance and Investment programme offers a holistic understanding of the operations in real estate markets and investments. It provides graduates with the specialist knowledge and skills needed to research, analyse and advise on investment decisions accordingly. [+]

Best Part time Masters Degrees in Investment in Europe. Master of Real Estate in Finance and Investment Today, professionals working in the real estate investment market face many challenges. The global nature of the property market, rapid developments in research tools and business practice, new competition from those operating in the broader investment markets and the development of alternatives to direct property investment all add new dimensions to the role of the property professional in this field. Thus professionals need to enhance their knowledge and skills. This Master of Real Estate in Finance and Investment programme offers a holistic understanding of the operations in real estate markets and investments. It provides graduates with the specialist knowledge and skills needed to research, analyse and advise on investment decisions accordingly. Admission Requirements Bachelor’s degree with minimum CGPA of 2.50 or equivalent as acceptable by the Senate; OR Bachelor’s degree or equivalent but for CGPA below 2.50; can be accepted provided that the candidates must have 5 years working experience in relevant field. Graduates of equivalent qualifications who have several years of relevant industry experience. Evidence of satisfactory English language skills is required for candidates where English is not their first language, such as IELTS 6.0 or above or TOEFL 550 or above. Who should attend This programme is designed for those wishing to pursue a career in the real estate investment and finance business. Graduates will be able to perform investment analyses of individual real estate investments and portfolios and conduct market... [-]

Master in Finance, Investment and Banking

Free International University of Moldova
Campus September 2017 Moldova Chisinau

Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master degree program. [+]

Master in Finance, Investment and Banking

Courses: First semester: Managerial Economics based on problem solving (workshops). Research Methods for Business. Business and Predictive Analytics. Financial Econometrics, Modelling and Risk Analysis. Diplomacy and Negociation in International Business (Romanian, Russian, English, French)/ Strategic Communication and New Software Skills (Romanian, Russian, English, French). Financial markets, Institutions and Services (current topics). Modern Banking Technology and Financial Innovations (current topics). Second semester: Project Management. Risk and Crisis Management. Fraud Risk Management and Anti-Fraud Services: Strategy for preventing, detection and response. Comparative studies: Economic, Financial and Taxation Policies, Reforms and Trends (workshops). Intellectual Property: Policy, Law and Use. Investment and Sustainable Development: Policy, Law, and Institutions Financial Management and Control. National and International Regulation of Capital Markets. Monetary and Foreign Exchange Policy Strategy. Investment and International Retail Banking. Investment Strategy and Portfolio Management. Third semester: Advanced Corporate Finance and Governance (current topics). Credit Risk: Models, Derivatives, Debt and Contracts. Asset Liability Management(ALM) and Risk Management (RM) for Banks/Insurances/Pension Funds. Financial Assets and Business Valuation. Investment Valuation. Administration of Alternative Investment Funds. Hedge Funds: Risk Assessment and Returns. Selected Problems on Finance, Investment and Banking(workshop). Integrative Internship. Fourth semester: MA Thesis / Reading Research. Concept of the specialist training. Master degree program Business Management and Entrepreneurship lasts two years (four semesters) and has 120 ECTS, it is composed of fundamental course unities for the 1st semester in order to develop knowledge skills. The 2nd semester has course unities oriented on specific policies and strategies for the master... [-]


Master in Finance

Poznan University of Economics and Business
Campus September 2017 Poland Poznań

The programme focuses on giving the students the knowledge of financial markets and of the processes that govern contemporary local and global finances. [+]

Master in Finance

This is an elite and interdisciplinary program, which encompasses both general and specialist knowledge in the field of economics and management. The students will know how to understand the processes that govern world and local economies and how to use the tools available to make financially responsible decisions.

The program will show students how the financial markets function, how to analyze financial situation of a company, how to make financially responsible decisions. The students will also learn how to secure financially economic activity, how to use the means the company has effectively and how to judge their use.

 

AREAS OF STUDY The program is based on four major areas: * Accounting, selected courses: Corporate and business accounting, Managerial accounting, Tax systems, * Finance, selected courses: Public finance, Corporate finance, Local government finance and EU financial system, Behavioral finance, * Insurance, selected courses: Personal and commercial insurance, * Management, selected courses: Private asset and wealth management, Portfolio management. GRADUATES Because of our analytical approach to the functioning of companies combined with necessary and up-to-date theoretical knowledge graduates of this program have numerous opportunities of employment, for example in: * financial and accounting departments as a financial analysts or brokers, * public sector – various positions, * corporations as advisors, portfolio managers or head accountants, * establishing their own companies. [-]

Executive Master in International Finance (MIF)

University of Amsterdam
Campus Part time 1 - 2  September 2017 Netherlands Amsterdam

The Master in International Finance (MIF) is an executive MSc degree (for candidates with work experience). The MIF programme introduces you to cutting-edge developments in international corporate finance, banking, and asset management. The course curriculum aims to prepare students for a professional rather than an academic career. [+]

Boost your career in Finance and Banking Master in International Finance (MIF) is a postgraduate and postexperience programme that offers cutting-edge developments in Corporate Finance & Valuation, Investment, Financial Modelling, M&A, Asset Management and Risk Management. See more: http://youtu.be/YiEnZy3ZnjY Full-time, part-time or modular The programme allows you to study full-time (12 months), part-time (18-24 months) for working students or to study modular. All courses are conducted in English and organized 2-3 evenings during weekdays (Monday-Thursday). International Study Trip Every year we organise an International Study Trip to Cape Town, South Africa. Theme of this trip is: 'Finance in emerging markets'. Linking theory to practise Our lectures are from the academic field and from our network of experts from the financial services industry. This guarantees a practical relevance through their involvement in the development of courses and guest lectures. Careers During the one- or two-year MIF programme, you will be guided by the Careers Services Manager to define and plan your career path. Our Career Service Manager placed 90% of the MIF class of 2015 before graduation. Watch our video: http://youtu.be/9G-l84oaTkc Alumni and students We are running the programme since 1996. Our MIF alumni are a diverse community of high achievers connected by a shared experience. Visa and Housing Moving to a new city and beginning a new study should be a happy and exciting experience. The University of Amsterdam has a number of services and support facilities to ensure this is the case. Fees and ScholarshipsThe tuition fee for the... [-]

Master in Finance & Investment Management

University of Aberdeen
Campus August 2017 United Kingdom Aberdeen

This established programme has enabled many students to achieve their finance career or PhD ambitions over the years. It has now been radically revised for 2013/14 to give students the opportunity to take the leading professional qualification, CFA level 1 [+]

Master in Finance & Investment Management

This established programme has enabled many students to achieve their finance career or PhD ambitions over the years. It has now been radically revised for 2013/14 to give students the opportunity to take the leading professional qualification, CFA level 1

Programme Length: MSc(Econ) 12 months full-time

Many students of the course in the past have finished the MSc and then had to take CFA exams as soon as they commenced employment. Attaining this qualification whilst doing the MSc will put graduates of the programme ahead of others competing for jobs in the finance industry and mean they have less professional exams to take once they are working.... [-]


MSc Financial Management And Investment

Moscow State University of Economics, Statistics and Informatics MESI
Campus Part time 4 - 5  September 2017 Russia Moscow

Financial management and investment - one of the important directions of modern master training, has become commonplace in many countries.Its popularity is due to the ever-increasing [+]

MSc Financial Management and Investment

Language of instruction: Russian

Financial management and investment - one of the important directions of modern master training that has received the most widely distributeds all over the world.Its popularity is due to the ever-growing needs of the labor market in competent professionals trained in line with the demands of practice, holding a solid knowledge in the field of economy and finance, investment, capable of generating innovativennye ideas, implement them, and demonstrate the ability to solve business problems for the organization of the business, its sustainable development and introduction of advanced technologies that promote enterprise competitiveness in a globalized world. The purpose of the program: the training of professional economists and managers with in-depth knowledge of financial management and a broad range of investment disciplines, owning the latest technology financial management is efficient canbut to manage the company in the current economic conditions and to identify prospective investment targets. ... [-]


Master in Financial Options and Futures

IEB - Instituto De Estudios Bursátiles
Campus Part time February 2017 Spain Madrid

Since the year 2000 the IEB has offered the only Master solely focused on the field of Derivatives. Since the end of the 80s, options and futures have become the cornerstone of financial markets. We have [+]

Master in Financial Options and Futures

Since the year 2000 the IEB has offered the only Master solely focused on the field of Derivatives. Since the end of the 80s, options and futures have become the cornerstone of financial markets. We have seen how the convergence process towards the single currency has brought about an important drop in interest rates which ultimately resulted in traditional investment products losing their appeal.

Consequently, the different Investment Banks have sought imaginative alternative investments through the use of derivatives (Guaranteed Funds, Indexed Bonds and Deposits, Equity Swaps, Warrants, etc...). This process implies greater sophistication of financial products in coming years with the aim of achieving a better balance between risk and return for the investor.... [-]


Master in Corporate Finance and Investment Banking

IEB - Instituto De Estudios Bursátiles
Campus Part time January 2018 Spain Madrid

Throughout recent years, Investment Banking in general and Corporate Finance in particular have considerably evolved. Firstly, big Corporations require greater added value new services from the banks [+]

Master in Corporate Finance and Investment Banking

Throughout recent years, Investment Banking in general and Corporate Finance in particular have considerably evolved. Firstly, big Corporations require greater added value new services from the banks they work with. Secondly, companies are confronted by the wide diversity and sophistication of the financial operations that require tailor made and personalised treatment. In addition, it is ever more obvious that Investment Banks are obliged to convert themselves into Global Banks capable of meeting any request from either companies or private investors.

So, the specialised professionals in this area as well as financial departments of companies have seen how the financial tools required to meet their new needs have become considerably more complicated; training in this field is, therefore, more than ever before, a necessity.... [-]