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2 Securities Management MA Degree Programs


University of Applied Sciences Upper Austria
Fast-track counseling
Master's degree in Information Security Management
- Hagenberg, Austria
MA
Part time
4 semesters
On-Campus
German
Fast-track counseling
Information security is essential in today's digital landscape. The master's program "Information Security Management" offers practical training for experienced professionals, based on international standards and many years of expertise in the field of IT security.


London School of Business & Finance
Master of Science (MSc) Finance and Investments
- UK Online, United Kingdom
MA
Full time, Part time
18 months
Distance Learning
English
Acquire the competencies to be a global contender in worldwide financial markets with your Master in Finance and Investments, awarded by the International Telematic University UNINETTUNO and delivered to you 100% online. The Master in Finance and Investments is the ideal programme for those looking to learn the latest financial concepts, business philosophies, and leadership techniques. You will graduate possessing top-level leadership and management attributes, making you a highly sought-after candidate in the global finance and investment sector. With course delivery through the advanced online learning platform, you’ll have access to industry-leading course content, HD video tutorials, access to professional and peer student networks, and student support right at your fingertips, everywhere, 24/7.
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Learn more about Securities Management MA degree programs
A Master's degree in Securities Management immerses you in the complexities of financial markets and investment strategies. This program is designed for those eager to understand the intricate dynamics of securities and risk management, preparing you for advanced roles in the finance sector.
Through courses in portfolio management, risk analysis, and investment strategies, you'll develop specialized skills such as evaluating market trends and managing investment portfolios effectively. Students strengthen their analytical thinking as they explore quantitative methods and financial modeling techniques essential for making informed decisions in various market conditions. The curriculum also emphasizes ethics and regulatory frameworks, ensuring graduates are well-prepared for the responsibilities in the financial industry.
Graduates typically pursue roles such as financial analyst, investment manager, or risk manager, where they apply their knowledge to guide investment strategies and ensure compliance with financial regulations. This program equips you with the necessary competencies to thrive in a rapidly evolving financial environment.