Program Description

The Master’s program in Finance is now redesigned to respond this new era by contributing the program participants (academicians and finance professionals) who wish to have a theoretical and practical background for an efficient analysis and expert solution of the financial issues.

Supported by main finance courses, the program also presents a unique blend of courses such as corporate finance, bank financial management, quantitative methods in finance, insurance management, risk management, financial modeling, analysis for financial decision and performance, investment analysis and portfolio management and basic derivative products.