Students yearning to learn more about a subject than what a bachelor’s degree imparted may choose to attend graduate school and earn a master’s degree. Further education can open up opportunities for new jobs, promotions or higher salaries.
What is a Master in Investment? Focused on fundamental applications of theoretical strategies, a degree concerned with asset management is a good fit for students with aspirations for high-level careers in the financial marketplace. Program participants may study wealth planning and management, fiscal accounting and securities risk, as well as business courses on professional benchmarks and ethics. There are a variety of specialized programs to further focus on stocks, global markets, investment strategy and entrepreneurship.
Students can gain expert knowledge in stock market functionality and the ability to expertly practice stock market speculations. Skills in portfolio administration and risk management that are honed throughout these programs assist future graduates in practical work in firms and on the floor of the stock market.
While planning to obtain a master’s in investment, time and money are important factors. There are many options internationally for education, and cost and program length are just as varied. Students are urged to investigate these essential details while deciding which school fits best.
The skills graduates pick up in these programs can parlay into a career as an investment manager, portfolio manager or stock broker. Options for employment are nearly endless for those with expert knowledge on the ins and outs of stocks and bonds. Opportunities abound in small, niche markets and large, thriving cities alike. As with many financial fields, graduates may also decide to strike out as entrepreneurs or in a consulting capacity.
Part-time programs and online options put further education within reach, even for busy professionals. Search for your program below and contact directly the admission office of the school of your choice by filling in the lead form.
Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management
Master in Financial Markets and Asset Management (on-line)
This Master program has multiple objectives. On the one hand, has as its fundamental objective to deepen those aspects that are essential for understanding the stock market in particular and financial markets in general. On the other hand, the Master program is useful both for those without experience who want to enter the exciting world of Financial Markets to those professionals who want to achieve more robust from a technical standpoint.
Objectives and Methodology
The Master program is designed to maximize the wizard using the most advanced tools that allow companies to assess, calculate the price of a bond pricing options for different models, build a system to manage different types of assets, graph through a different excel sheet strategies market using options and futures, etc ... Finally, the Master Program in Financial Markets and Asset Management (On-line) will implement the knowledge acquired along the same through the implementation of portfolio management simulations in real time. ...
INISEG Instituto Internacional de Estudios en Seguridad Global
The Master in Detection, Management and Prevention of Hybrid Threats is an official degree of II livello (second level) of the Pegasus University of Italy that gives acce
The Master in Detection, Management and Prevention of Hybrid Threats is an official degree of II livello (second level) of the Pegasus University of Italy that gives access to the doctorate due to its adaptation and reception to the Bologna plan and the European Higher Education Area ( EHEA).
This official master's degree in hybrid threats arises from the current great need to offer effective multidisciplinary responses to an innovative and global phenomenon of high complexity since the proliferation of hybrid threats puts at risk the institutions of our democratic societies, which require a high degree of professionalism when facing them.
The objective of this master's degree in hybrid threats is to provide a broad theoretical and practical content that allows mastering the most effective and innovative policies and strategies for detection, management and prevention of hybrid threats. Likewise, the student will be able to develop a broader and clearer vision of the current dynamics of the digital society and the global world that surrounds us....
The Master in Financial Markets and Exchange form high-level specialists in the financial area, covering practically the tools to make the right analysis and financial as
Master Online - Financial Markets
The Master in Financial Markets and Exchange form high-level specialists in finance, addressing practically necessary for proper analysis and financial asset management tools.
What are the program objectives?
The objective of the Master in Financial Markets is to provide the knowledge and tools necessary to achieve a theoretical and practical knowledge of financial markets and specifically the stock market. Students will learn the structure of a financial system and analyze the pool of assets, markets and intermediaries that comprise it.
Why Choose Us?
The online learning methodology is based on the "case method", video classes, virtual sessions and interactive exercises, ensuring practical training and student participation, focused on solving problems and not just in the knowledge acquisition. The faculty is formed by professors and professionals in the company with extensive experience in the subjects taught and recognized prestige. Customized training of the European Institute Graduate, allows daily monitoring of the student and ongoing support from tutors through a weekly schedule of activities....