MSc in Financial Economics
Vilnius County, Litauen
VARAKTIGHET
2 Years
SPRÅK
Engelsk
TEMPO
Heltid
ANSÖKNINGSTIDEN
Sista ansökningsdag för begäran
TIDIGASTE STARTDATUM
Sep 2025
STUDIEAVGIFTER
EUR 3 225 / per semester *
STUDIEFORMAT
På Campus
* per semester.
Introduktion
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
Antagningar
Galleri
Programresultat
VIKTIGA LÄRANDERESULTAT
Genom programmet Master of Financial Economics kommer studenterna att kunna:
- Analysera och bedöma både den mikro- och makroekonomiska miljön för internationella företag, finansinstitut, och kapitalmarknader.
- Förstå och tillämpa kvantitativa finanstekniker och avancerade finansiella beslutsverktyg inom portföljhantering, riskhantering och kapitalbudgetering.
- Analysera och kritiskt utvärdera de internationella finansmarknadernas och institutionernas roll och funktion och känna till de finansiella instrumentens universum.
- Utvärdera, välja och systemiskt tillämpa avancerade matematiska statistikmetoder och avancerade ekonometriska modeller och tekniker för att lösa komplexa problem inom corporate finance.