Master in Finance
Universidade de Aveiro
Key Information
Campus location
Aveiro, Portugal
Languages
English
Study format
On-Campus
Duration
4 semesters
Pace
Request info
Tuition fees
Request info
Application deadline
Request info
Earliest start date
Request info
Introduction
Master in Finance
The Master in Finance program aims to prepare and update professionals developing their activity in this business field. Taking into account the demanding requirements they are exposed to and the market’s highly complex and volatile environment, the Master in Finance program will foster the acquisition of generic and specific competences that will allow the consolidated training of professionals capable of performing careers in the following areas:
- Financial management (in corporate or financial institutions)
- Financial management in diversified business areas (real estate, leasing, factoring, rating and private equity);
- Financial consulting;
- Investment portfolio management;
- Financial risk management;
- Teaching;
- Research.
Gallery
Admissions
Scholarships and Funding
Several scholarship options are available. Please visit the university website for more information.
Curriculum
Year 1
1st Semester
- Decision-making Support Techniques
- Research Methodologies for Social Sciences Corporate Finance
- Corporate Finance
- Financial Investments
- Accounting and Management Control
2nd Semester
- Econometric Methods for Finance
- Seminars
- Corporate Evaluation and Performance
- Derivatives
- International Financial Management
Year 2
1st Semester
dissertation/project/internship
Program Tuition Fee
Career Opportunities
The Master in Finance is taught in polytechnic education system, with a vocational nature, and set in a university recognized at national and international level , the University of Aveiro, offering excellent career opportunities in various areas, including financial management , financial management applied to various areas of business (real estate, leasing, factoring, rating and private equity), financial consulting, investment portfolio management, financial risk management, and management in several sectors of financial activity, including banking, governmental and international institutions.