Online PhD in Finance

Best Online PhD Degrees in Finance 2018

Finance

A PhD Finance online program can be a positive step toward a rewarding career in academia or the finance industry. Online programs are gaining popularity as they allow students the flexibility to juggle work, education, and family in order to earn their degree. Through video conferences, online courses, chat rooms, discussion boards, and email, students can earn their PhD Finance online degree and advance their careers.

PhD Finance online programs examine all aspects of finance such as behavior of financial markets, pricing and valuation, and financial decisions in businesses and corporations. Programs also provide students with the tools and skills necessary to conduct original research resulting in a dissertation, which must provide significant contribution to the field of study. Graduates of PhD Finance online programs have specialized knowledge in finance, a deep understanding of theory and application of theory, and the competence to conduct independent research in the field.

Take a look through the PhD Finance online programs below and you may find the program you have been searching for!

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PhD in Finance

SMC University
Online Full time Part time Open Enrollment Switzerland Zug

The PhD / Doctorate in Finance provides an in-depth study of the strategic financial issues in today’s economy and provides a solid base for conducting comprehensive research in the field. [+]

An in-depth study of the strategic financial issues in today’s economy The Ph.D. / Doctorate in Finance provides an in-depth study of the strategic financial issues in today’s economy and provides a solid base for conducting comprehensive research in the field.

EXCEL IN THE DYNAMIC FINANCE FIELD

The Ph.D. / Doctorate in Finance is being offered jointly and as a dual degree program by SMC University and Universidad Central de Nicaragua. The Ph.D. / Doctorate in Finance provides an in-depth study of the strategic financial issues in today’s economy and provides a solid base for conducting comprehensive research in the field. The courses created and the issues raised typically have a theoretical, mathematical and business application. The Ph.D. / Doctorate of Finance is ideal for individuals with very strong financial backgrounds and previous financial education who wish to excel in this very dynamic field. This dual degree program is also aimed at university, university college, polytechnics lecturers who seek a thorough foundation for an academic career provided by a Ph.D. degree. UCN Universidad Central de Nicaragua was founded in 1997 as a private Nicaraguan university in Managua, Nicaragua. It was accredited by the Consejo Nacional de Universidades and received the status of a fully autonomous university with unrestricted degree awarding authority by Act of Parliament and by the award of the fully autonomous university status by Decree of the President of Nicaragua.... [-]


Doctorate in Risk Management and Insurance

Open University of Taras Shevchenko National University
Online Full time 3 years January 2019 Ukraine Kiev

One of the best universities in the world and 200 years old. The doctorate program in insurance and risk management has been created to help the students learn about the analytical techniques as well as the concepts that are needed for carrying out quality research related with all issues of business risk. This curriculum covers the study involved with risk sources and the effects risk taking will have on the decision making of managers and corporate firms. The impact created by risk on decision making in the society is a huge one and candidates for this program have to learn the art of managing risks and diluting their effects in financial institutions.

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One of the best universities in the world and 200 years old. The Doctorate Degree in Insurance and Risk Management is offered at the Department of Insurance and Risk Management at the Taras Shevchenko National University of Kyiv - Open University. The doctorate program in insurance and risk management has been created to help the students learn about the analytical techniques as well as the concepts that are needed for carrying out quality research related with all issues of business risk. This curriculum covers the study involved with risk sources and the effects risk-taking will have on the decision making of managers and corporate firms. The impact created by risk on decision making in the society is a huge one and candidates for this program have to learn the art of managing risks and diluting their effects in financial institutions. Scholarly research in the field of risk management and insurance requires a detailed study of finance, statistics, economics, and applied mathematics. The knowledge gained from this doctoral program will lead candidates to various academic careers in economic departments and employment in business schools. There is scope for research positions in insurance firms and banking institutions. This Department at the Taras Shevchenko National University of Kyiv - Open University works in an interdisciplinary way; its faculty publishes research articles related to risk in key journals regularly and these articles cover topics in finance, economics, and actuarial science. The Doctorate program in Insurance and Risk Management is a combination of risk related... [-]


Doctorate in Finance, Banking and Insurance

Open University of Taras Shevchenko National University
Online Full time Part time 3 years January 2019 Ukraine Kiev + 1 more

A Doctorate in Banking, Finance, and Insurance could be obtained from the Departments of Finance, Banking, Insurance and Risk Management which are attached to the Taras Shevchenko National University of Kyiv - Open University. Candidates have to specialize in Financial and Economic Security Management. This curriculum includes a study of the banking system, credit, and money, analysis of activity in the banking institutions, banking security, credit management, risk management involved in banking, project financing, banking supervision and regulation, foreign exchange, international payments and investment management. The study curriculum also includes institutional investments and innovation and strategic management in economic and financial security. [+]

One of the best universities in the world and 200 years old. A Doctorate in Banking, Finance, and Insurance could be obtained from the Departments of Finance, Banking, Insurance and Risk Management which are attached to the Taras Shevchenko National University of Kyiv - Open University. Candidates have to specialize in Financial and Economic Security Management. This curriculum includes a study of the banking system, credit, and money, analysis of activity in the banking institutions, banking security, credit management, risk management involved in banking, project financing, banking supervision and regulation, foreign exchange, international payments and investment management. The study curriculum also includes institutional investments and innovation and strategic management in economic and financial security. During the term of study, students have to undergo research practices in the field of organizations and industrial enterprises. The topics include the configuration of the establishment of businesses and their market relations. The research will delve into the efficient use of financial resources by business entities. A crucial area of the issues of the State budget is the use and its development of economic models and mathematical methods. Another area of importance is the development of innovative systems and the process of investment in the country. After the completion of the doctoral program, candidates would be able to pursue employment in banking institutions such as the National Banks and its network, Treasury, Tax Services companies, Audit Bureau and different enterprises and research institutions. They can also seek employment in the private sector that includes commercial... [-]


PhD in Islamic Economics and Finance

EUCLID (Euclid University)
Online Full time Part time 2 - 4 years Open Enrollment USA Washington DC Gambia Gambia Online + 3 more

EUCLID (Pôle Universitaire Euclide | Euclid University), an international intergovernmental organization with university mandate, offers to select students from the general public an external (distance or online) degree program called EUCLID PhD in Islamic Banking and Finance.

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OVERVIEW:

EUCLID (Pôle Universitaire Euclide | Euclid University), an international intergovernmental organization with university mandate, offers to select students from the general public an external (distance or online) degree program called EUCLID DIFE: Ph.D. in Islamic Economics and Finance. It is the only degree program in Islamic Finance organized by an international intergovernmental organization who is a partner of the Islamic Chamber of Commerce and Industry (now ICCIA) and of the Islamic Development Bank, both OIC institutions. Enrollment is open to Muslims and non-Muslims alike.

ACADEMIC PRESENTATION:

This Ph.D. represents at least 90 US credit hours of academic coursework beyond the Bachelor's, in compliance with international standards. It is assumed that students will transfer 35 graduate credits, and the doctoral dissertation counts for 25 credits. As a result, most incoming students are expected to obtain 35 credits during the phase of pre-dissertation coursework. The overall purpose of this Ph.D. is to provide an academically sound and institutional credible path to build on the student's background and experience in Islamic Finance. The Ph.D. is concerned with the philosophical and religious foundations of Islamic Economics and Finance, notably in contrast with the Western model. Students are expected to read a considerable amount of material to acquire a broad understanding of the state of Islamic Finance today, notably in terms of national, regional and global policies.... [-]


PhD in Risk Assessment and Strategic Investment

ABMS Open University Of Switzerland
Online Full time Part time 3 years Open Enrollment Switzerland Zurich + 1 more

PhD in Risk Assessment and Strategic Investment is a qualification where students having a Master’s Degree in the associated fields can further enhance and uplift their knowledge. [+]

3 TOP UNIVERSITIES = 1 EUROPEAN DOCTORATE All students will have in addition to ABMS Switzerland Doctorate a Joint Doctorate with University of D?browa Górnicza (WSB) and Taras Shevchenko National University (KNU). ABMS is certified by EFMD EOCCS, the Swiss National Quality for Education (EduQua) and ASIC UK. WSB Is a European state-recognized university and KNU is a European public University founded 200 years ago and ranked among top 500 universities in the world. 3 Top European Universities = Best Virtual/Online Program = 1 Top European Doctorate SWITZERLAND + EU + TOP RANKED 500 Ph.D. in Risk Assessment and Strategic Investment is a qualification where students having a Master’s Degree in the associated fields can further enhance and uplift their knowledge. The main focus is on throwing light upon various decision-making trends related to strategic as well as financial analysis. In the coursework normally priority is given to strategic analysis so that students can become efficient workers in future. The focus is on the methods that are used for assessing risks and carrying their management during the FDI procedures. Actual point to understand here is that making investments in the practical world is never a risk-free practice because of this reason a number of techniques have been developed for controlling the percentage of risks. The main highlights of the Ph.D. program are being mentioned below:... [-]