ISM University of Management and Economics
MSc in Financial Economics
Vilnius County, 立陶宛
理学硕士
期间
2 年
语言
英语
步伐
全职
报名截止日期
最早开始日期
Sep 2025
学习形式
在校园
Financial Economics
PROGRAM FOCUS
The distinctive feature of the Master in Financial Economics program lies in its holistic approach, which incorporates courses on investment management, corporate finance, economics and quantitative research methods. The program aims to broaden students’ understanding of scientific contributions in the field of financial economics, strengthen their analytic and critical thinking skills, and equip them with quantitative finance techniques and complex financial decision-making tools in a rapidly changing macroeconomic environment. Our graduates have solid training in modern financial and economic theory with an ability to apply theoretical concepts and models in practical situations.
Master’s program in Financial Economics aims to educate socially responsible and highly qualified specialists in the field of financial economics, equipped with general, functional and transferable competencies, specialized knowledge and strong analytical skills that would enable them to analyze, critically assess and develop contemporary theory and practice of finance and economics as well as apply methods of mathematical statistics and econometric models to the analysis of corporate finance, portfolio management, financial markets and institutions, financial engineering across local and international public and private institutions.
EXCHANGE PROGRAMS
Master’s students can spend an exchange semester in one of 14 partner universities in 11 countries across Europe and Asia.
DOUBLE DEGREE
The double degree is exclusively awarded to students who spend one year of their two-year program at the double degree partner university:
- BI Norwegian Business School
第一学期
我会学什么?
您将结合先进的方法论基础与数学金融和金融计量经济学,深入了解该领域的发展您将专注于公司财务、资产定价和可持续性
培训班
- 资产定价(GRAE021)
- 金融计量经济学(GRAE018)
- 高级企业融资(GRAE019)
- 数学金融(GRAE017)
- 可持续发展经济学(GRAE034)
第二学期
我会学什么?
- 您将获得在金融经济学和实践伦理方面进行独立研究的技能
- 您将获得计量经济学、估值应用、另类投资和衍生品方面的理论和实践技能
培训班
- 高级宏观经济学(GRAE007)
- 应用估值(GRAE027)
- 研究方法论(GRAE001)
- 另类投资及衍生品(GRAE033)
- 伦理与经济学(GRAE032)
第三学期
我会学什么?
- 您将探索在货币政策背景下建模和应用博弈论和系统动力学等各种方法
- 您将了解金融中介和风险管理技术
- 你将发展你的研究思路,并学习如何构建研究
培训班
- 金融中介与风险管理(GRAE035)
- 货币政策(GRAE012)
- 研究计划(GRAE030)
- 行为经济学(GRAE031)
- 博弈论与经济冲击(GRAE036)
第四学期
我会学什么?
在专家和硕士论文导师的帮助下,您将通过进行科学研究并将其结果贡献给您研究领域的知识库来整合您已经获得的知识和技能
培训班
硕士论文(GRAE016)
关键学习成果
通过金融经济学硕士课程,学生将能够:
- 分析和评估国际公司、金融机构和资本市场的微观和宏观经济环境。
- 在投资组合管理、风险管理和资本预算中了解和应用量化金融技术和先进的财务决策工具。
- 分析和批判性评估国际金融市场和机构的作用和运作,熟悉金融工具的世界。
- 评估,选择并系统地应用先进的数学统计方法和先进的计量经济学模型和技术,以解决企业财务的复杂问题。
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