Online Masters in Insurance in Europe

Top Online Master's Degrees in Insurance 2018 in Europe

Insurance

A master’s degree is a postgraduate study program that provides students with an in-depth and highly specialized education in their chosen field. Receiving this degree may improve job prospects for graduates by refining the knowledge and experience they have in their chosen field.

Insurance is a financial product that allows businesses and individuals an alternative to amassing large amounts of capital in the service of reducing risks and mitigating potential losses. Common topics in these programs are actuarial sciences, claims processing and business mathematics.

Europe is, by convention, one of the world's seven continents. Comprising the western most point of Eurasia, Europe is usually divided from Asia by the watershed divides of the Ural and Caucasus Mountains, the Ural River, the Caspian and Black Seas, and the waterways connecting the Black and Aegean Seas.

Master's Degree Online in Insurance in Europe

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Master in Risk Management and Insurance

Open University of Taras Shevchenko National University
Online Full time 1 year January 2018 Ukraine Kiev

One of the best universities in the world and 200 years old. A Masters in Risk Management and Insurance is offered by Department of Insurance and Risk Management at the Taras Shevchenko National University of Kyiv - Open University. This degree offers a variety of courses for the students including International Insurance and Banking, Financial Risk Management: Macro and Micro Levels, Insurance, Modern Practice of Investment Risk Management, Banking, Integration of Banking and Insurance Business, Insurance and Banking Management, Financial Services Market, Modern Business Processes of Financial Institutions. [+]

One of the best universities in the world and 200 years old. A Masters in Risk Management and Insurance is offered by Department of Insurance and Risk Management at the Taras Shevchenko National University of Kyiv - Open University. This degree offers a variety of courses for the students including International Insurance and Banking, Financial Risk Management: Macro and Micro Levels, Insurance, Modern Practice of Investment Risk Management, Banking, Integration of Banking and Insurance Business, Insurance and Banking Management, Financial Services Market, Modern Business Processes of Financial Institutions. The main research areas include: Social security system of social protection, Innovation-based development of the financial services market, Insurance and its role in a market economy, Financial crises in emerging markets, Risk management as an integrated process of governing risks to business entities, Central banks: ensuring financial stability and regulation, Financial dollarization and its effect on economic actors, Financial intermediation and transmission of financial shocks, Modernization of the banking and insurance systems or Efficiency of financial intermediaries. This degree offers a thorough knowledge of the risk management and insurance fields as well as some insight into banking and social security. The main aspects learned would include theories of risk management, life insurance, retirement funding, short-term insurance, medical insurance and more. The postgraduate research will also enable students to identify and mitigate risks in most businesses as well as view risk management from a global perspective. Students completing a Masters in Risk Management and Insurance often continue this career path by working in... [-]


Master in Finance, Banking and Insurance

Open University of Taras Shevchenko National University
Online Full time 1 year January 2018 Ukraine Kiev

One of the best universities in the world and 200 years old. The Master's Degree in Finance, Banking and Insurance is jointly offered by the Department of Finance, Department of banking and the Department of Insurance and Risk Management. These departments are attached to the Faculty of Economics at the Taras Shevchenko National University of Kyiv - Open University. Qualified experts in the coaching team at KNU OU provide good insights in Banking and Finance. Graduates learn about how organizations like to invest over a period of time with their assets. Students get to analyze the behavior of the financial markets on a micro and a macro scale, ranging from small business enterprises to multinational corporations; from academic posts to public offices. [+]

One of the best universities in the world and 200 years old. The Master's Degree in Finance, Banking and Insurance are jointly offered by the Department of Finance, Department of banking and the Department of Insurance and Risk Management. These departments are attached to the Faculty of Economics at the Taras Shevchenko National University of Kyiv - Open University. Qualified experts in the coaching team at KNU OU provide good insights in Banking and Finance. Graduates learn about how organizations like to invest over a period of time with their assets. Students get to analyze the behavior of the financial markets on a micro and a macro scale, ranging from small business enterprises to multinational corporations; from academic posts to public offices. Key courses in the Master's curriculum help the students in highlighting economic functions of the banking institutions, wealth channels, and risk management. Students have the option of specializing in certain fields that are related to their aspirations. Few students may go for a major in Finance & Investment and others may go for International Money or Risk and Banking. Specializations are also available to graduates in Private Equity and Hedge Funds. The Master's Degree in Finance and Banking is meant to prepare the graduates for international careers in banking and finance industries as the curriculum highlights several issues in wealth management and also presents their solutions. In an economy that becomes volatile, financial institutions perform a key role. Universities are well aware of the fact that recent changes... [-]