The MSc Asset Management at the University of Europe for Applied Sciences is designed for ambitious graduates seeking to master the complexities of global finance and investment. You will delve into critical areas such as corporate finance, portfolio management, financial analysis, risk assessment, and the burgeoning world of cryptocurrencies. This programme equips you with a comprehensive understanding of financial markets and asset management strategies, preparing you to navigate and lead in an internationally focused financial landscape. It is ideal for those with a background in economics or business looking to specialise in advanced financial applications.
This full-time, on-campus Master of Science degree is structured over two years, offering a blend of theoretical knowledge and practical application. You will engage with modules covering globalisation, sustainability, and contemporary leadership, culminating in a significant capstone project and a final thesis. Throughout your studies, you will develop advanced research methodologies and analytical skills. Upon graduation, you will be well-prepared for diverse roles in financial analysis, investment banking, portfolio management, and consulting, equipped to address complex financial challenges in professional settings.