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Aarhus University MSc in Economics and Business Administration – Finance
Aarhus University

MSc in Economics and Business Administration – Finance

Aarhus, Denmark

2 Years

English

Full time

Aug 2025

EUR 10,000 / per year **

On-Campus

* 15 January for non-EU citizens and 1 March for EU citizens

** for non-EU/EEA students only | EU/EEA students study for free

Key Summary

    About: The MSc in Economics and Business Administration – Finance provides advanced knowledge in finance, economics, and business administration. The program spans two years and emphasizes analytical and problem-solving skills needed in the finance sector. Courses cover topics such as financial markets, risk management, and corporate finance, equipping students with theoretical and practical applications.
    Career Outcomes: Graduates can pursue various careers in finance, including roles in investment banking, financial consulting, risk management, and corporate finance. The program prepares students for leadership positions and further academic pursuits, such as a PhD.

Introduction

Immerse Yourself in the Fascinating Diversity of Financial Markets

The Master’s degree program in finance is a comprehensive, research-based university education in finance with a strong focus on developing quantitative and analytical skills relevant to the financial industry. The Program introduces the students to state-of-the-art theoretical and empirical models of financial decision-making, asset and derivative pricing, financial institutions and intermediaries, and corporate finance.

Financial theory and asset pricing

Students will obtain a strong foundation in standard financial theory and learn how to apply both theoretical and empirical models to analyze financial assets such as stocks, bonds, and derivatives, as well as real assets such as investment projects within the firm. The objective is to equip the students with the ability to demine the fair prices of financial and real assets using relevant asset pricing models, identify the risk premia required by investors for bearing risk and discuss their sources, and characterize how investors and financial institutions trade off risk and return when forming optimal portfolios.

Financial institutions

Students are introduced to the different players in financial markets today and study their role in setting prices and allocating capital. Asset managers and intermediaries are central to the financial system. They provide liquidity to market participants, facilitate financial transactions and risk-sharing, and help ensure an optimal capital allocation between financial institutions, firms, and households. The students will learn about asset management in financial institutions and discuss the role, impact, and importance of asset managers and intermediaries for the financial system.

Admissions

Scholarships and Funding

Program Outcome

Program Tuition Fee

Career Opportunities

Program Admission Requirements

Demonstrate your commitment and readiness to succeed in business school by taking the GMAT exam – the most widely used exam for admissions that measures your critical thinking and reasoning skills.

Download the GMAT mini quiz to get a flavour of the questions you’ll find in the exam.

About the School

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