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Portfolio Management Postgraduate Degrees
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This university is probably the the best of all in every aspect, be it academics socialisation or sports. This is the best decision of my life. Its the best opportunity I would ever get.
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Having a a great time here, nothing better than this could happen.
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The culture of Loughborough university is so good that it is difficult to go elsewhere.
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- Master
- Loughborough
... and Investment is accredited by the Chartered Institute of Management Accountants (CIMA); the world's largest body of management accountants. It offers at least 6 exemptions from CIMA's professional examinations. This is strong recognition of the professional relevance of this programme for students wishing... Learn about: Corporate Governance, Portfolio Management, Financial Management...
... and Investment is accredited by the Chartered Institute of Management Accountants (CIMA); the world's largest body of management accountants. It offers at least 6 exemptions from CIMA's professional examinations. This is strong recognition of the professional relevance of this programme for students wishing... Learn about: Corporate Governance, Portfolio Management, Financial Management...
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This university is probably the the best of all in every aspect, be it academics socialisation or sports. This is the best decision of my life. Its the best opportunity I would ever get.
← | → see all
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Having a a great time here, nothing better than this could happen.
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The culture of Loughborough university is so good that it is difficult to go elsewhere.
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- Postgraduate
- Islington
... portfolios; trading techniques; asset-liability management; risk management; alternative investments; venture capital and management of foreign exchange... Learn about: IT risk, Skills and Training, Financial Training...
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They're one of the best incubator for Reseacher
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My experience was good.
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They offer a stimulating learning environment.
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- Master
- Hong Kong (Hong Kong)
- August
- 1 Year
... valuation and portfolio management. These four courses, which will allow students to gain a solid knowledge base to prepare for all levels of the CFA examination, make up the Fundamental Core Module. After successful completion of the Fundamental Core Module, students will continue their studies... Learn about: Financial Training, IT risk, Quantitative Analysis...
... valuation and portfolio management. These four courses, which will allow students to gain a solid knowledge base to prepare for all levels of the CFA examination, make up the Fundamental Core Module. After successful completion of the Fundamental Core Module, students will continue their studies... Learn about: Financial Training, IT risk, Quantitative Analysis...
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They're one of the best incubator for Reseacher
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My experience was good.
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They offer a stimulating learning environment.
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Accommodation cost is high here and food is cheaper. Thanks for everything.
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All I can say is to study hard and that's the only thing whch worked really well with me here. I would recomend the same to all. Thanks for everything.
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Its expensive to live and study here but the education and everything is good and looks worth it. Thanks for everything.
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- Postgraduate
- Lisbon (Portugal)
- Different dates available
- 9 Months
...UNIDADES CURRICULARES Design Thinking Storytelling Design Digital Design Advertising Brand Activation Portfolio Seminários Este curso reúne... Learn about: Strategic Planning, Digital Animation, Portfolio Management...
...UNIDADES CURRICULARES Design Thinking Storytelling Design Digital Design Advertising Brand Activation Portfolio Seminários Este curso reúne... Learn about: Strategic Planning, Digital Animation, Portfolio Management...
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Accommodation cost is high here and food is cheaper. Thanks for everything.
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All I can say is to study hard and that's the only thing whch worked really well with me here. I would recomend the same to all. Thanks for everything.
← | → see all
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Its expensive to live and study here but the education and everything is good and looks worth it. Thanks for everything.
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- Master
- Bangor
... institutions and traders in capital markets and dealing rooms to have a clear understanding of the theory and practice relating to financial market operations and corporate financial strategy. Familiarity with the most recent developments in risk appraisal, portfolio analysis, the engineering of synthetic... Learn about: Portfolio Management, Investment strategy, Financial Econometrics...
- Master
- Massachusetts (USA)
- Different dates available
- 9 Months
... courses from the following list: FIN-801 Money & Capital Markets FIN-830 Introduction to FinTech FIN-831 Portfolio Management FIN-835 Behavioral Finance FIN-841 Financial... Learn about: Fixed Income, Financial Training, Enterprise Risk Management...
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Participating in this Advanced Master has been an excellent choice for me. It connected me with top financial institutions in London and also approached me to the job where I am starting my career. What is more, it significantly expanded my knowledge and passion about financial markets. I will carry on this attributes for the rest of my career.
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The graduates from this Advanced Master have proven to be particularly well prepared to perform successfully from the start since this is the kind of program that gives young professionals the toolkit needed to tackle the current issues faced by the financial markets.
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It offers you the opportunity to understand how financial markets work in practice and to learn from a top academics and practitioners.
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- Postgraduate
- Brussels (Belgium)
- Different dates available
- 11 Months
- Internship
... courses: hedge funds, asset & collateral optimization, risk & risk management, banking & insurance, ALM, Fair valuation & balance sheet optimization. Term... Learn about: Risk Management, Hedge Fund, Portfolio Management...
... courses: hedge funds, asset & collateral optimization, risk & risk management, banking & insurance, ALM, Fair valuation & balance sheet optimization. Term... Learn about: Risk Management, Hedge Fund, Portfolio Management...
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Participating in this Advanced Master has been an excellent choice for me. It connected me with top financial institutions in London and also approached me to the job where I am starting my career. What is more, it significantly expanded my knowledge and passion about financial markets. I will carry on this attributes for the rest of my career.
← | → see all
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The graduates from this Advanced Master have proven to be particularly well prepared to perform successfully from the start since this is the kind of program that gives young professionals the toolkit needed to tackle the current issues faced by the financial markets.
← | → see all
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It offers you the opportunity to understand how financial markets work in practice and to learn from a top academics and practitioners.
← | → see all
- Postgraduate
- Southampton
...Introducing your degree If your career ambitions are in the finance or banking sector, MSc Finance will equip you for success. This popular masters degree provides a comprehensive grounding in key areas of finance, such as stock market analysis, corporate finance and portfolio management... Learn about: Portfolio Management, Financial Training...
- MBA
- Blended in London
- 18 Months
... City Excursion The Product Portfolio Management unit encompasses an international fashion city excursion to look at global retailing with particular... Learn about: Portfolio Management, Fashion Product, Financial Training...
- Postgraduate
- London
... will take modules totaling 120 credits as follows: Finance and Asset Management (20 credits) The aim of this module is to set corporate decision making in the context of the business environment, corporate goals and the practice of company finance, estate and portfolio management. You will gain a grounding... Learn about: IT Law, Portfolio Management, Asset Management...
- Master
- Loughborough
... can expect to cover the fundamentals of management and financial accounting, alongside developing key skills associated with quantitative, computing and communication skills... Learn about: Resource Management, Decision Making, Corporate Finance...
- MBA
- Barcelona (Spain)
- Different dates available
- 1 Year
- Internship
... and relevant curriculum in the beautiful Mediterranean city of Barcelona. Students will learn management skills while also focusing on the international banking industry. Some of the courses which will be taught include management skills, organizational behaviour, managerial accounting, marketing and modern... Learn about: Strategic Management, Quantitative business methods, Organizational behaviour...
- Master
- Madrid (Spain)
- 2 Years
... Products FINANCIAL MARKETS Financial Markets Portfolio Management Portfolio Management II Regulatory Framework of the Financial System and Compliance... Learn about: External auditing, Financial Training, Financial Accounting...
- Postgraduate
- Colchester
- 1 Year
... (e g hedge funds) and non-financial firms (e g utilities) have trading arms which execute orders in the markets and deal on behalf of either the firm or outside clients Therefore, knowledge of trading global markets is a prerequisite for your career in trading, risk management or compliance... Learn about: Portfolio Management, Financial Training, IT risk...
- Master
- Bangor
... theoretical and practical approach to derivatives pricing and financial engineering. Investment Strategy and Portfolio Management: This module evaluates... Learn about: IT risk, Financial Analysis, Portfolio Management...
- MBA
- Massachusetts (USA)
- Different dates available
- 16 Months
... courses from the following list: FIN-801 Money & Capital Markets FIN-830 Introduction to FinTech FIN-831 Portfolio Management FIN-835 Behavioral Finance FIN-841 Financial... Learn about: Business Intelligence, Portfolio Management, Fixed Income...
- Master
- Genèveand2 other venues
- Barcelona, München
- October
- 1 Year
- Internship
...This major covers a diverse range of areas in the financial industry, from the financial organization, operation and problems of the economy at large to issues of financial management in business firms and financial institutions. This program equips you with the analytical foundations and tools... Learn about: Strategic Management, Career planning, Quantitative business methods...
- Master
- Southampton
...Introducing your degree This highly specialised MSc in International Financial Markets offers advanced study in the areas of international financial markets and portfolio management, with an emphasis on equity, bonds, foreign exchange and their various derivatives markets. You’ll examine effective... Learn about: Financial Training, Portfolio Management...
- MBA
- Massachusetts (USA)
- Different dates available
- 16 Months
... & Capital Markets FIN-830 Introduction to FinTech FIN-831 Portfolio Management FIN-835 Behavioral Finance FIN-841 Financial Forecasting FIN-845 Private... Learn about: IT risk, Corporate Finance, Capital Markets...
- Master
- Bangor
...This degree programme will provide students with advanced level management and business training relating to practical managerial areas in the banking and finance area. This involves understanding practical managerial issues surrounding the running of banking/financial firms including:... Learn about: Financial Training, Banking Finance, Islamic finance...