Programme overview

Finance and Investments

Mode of education

In addition to lectures, you will work in small groups on business cases and assignments. Many of the exercises are carried out in teams. Skills training, presentations, visiting lecturers and practitioners are all part of the curriculum. In order to graduate you will be trained in analytical and research skills and must write an individual thesis on a topic of your choice.


  • Investments
  • Corporate finance
  • Business ethics
  • Risk management
  • Financial analysis and valuation
  • Master thesis orientation and topic selection
  • Research Methods in Finance
  • Portfolio Management
  • Derivatives
  • Banking and financial intermediation
  • Treasury management
  • Mergers and acquisitions
  • Household finance
  • Advanced valuation & value creation
  • Real estate finance
  • Fixed income and its applications
  • Trading & exchanges
  • Entrepreneurial finance & private equity
  • Financial Modelling
  • Quantitative methods for finance
  • Financial distress and corporate restructuring
  • Sustainable finance
  • Corporate governance
  • Behavioural finance
  • FinTech
  • Financial analytics

Read more about: Curriculum Master in Finance and Investments.

Target audience

This master programme in Finance and Investments is for recently-graduated and motivated bachelors. Bright minds will benefit from the global scope and reputation of a master degree from one of Europe's top business schools. Building on a bachelor degree in business, economics, finance or accounting, it paves the way for an international career in the financial arena.

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