Master thesis banking and finance
Program Description Curriculum Apply Online The Master of Science M.
Feedback Do you baniing a question or remark about this page? Gianni Nicolini Riccardo Antonio, "Vector Heterogeneous Autoregressive Index Model: Gianluca Cubadda Cortesini Alessandro, "Test on Fama French factor on Hong Kong Singapore and India stock market", Advisor: Tuesday, August 22, Open master theses The i: Completing the PFP program will qualify you to write the Certified Financial Planner CFP examination offered by the Financial Planners Standards Council FPSC master thesis banking and finance Canada. Please consult the homepage of the Chair of Finance Prof. Format Theses need to be handed in digitally by email to the thesis supervisor.
The graduate students may earn their M. With thesis or non-thesis option.
- Stefano Herzel Melone Alessandro, "Understanding and Forecasting Financial Market Volatility Over Long Horizons", Advisor:
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With the non-thesis option, students take five core courses plus the completion of a further five elective courses and a term paper. In addition to the MS degree, the program has strong and established international collaborations.
Graduate students can take their elective courses on-line from the Canadian Securities Institute CSI obtain the professional designation called Associate of the Institute of Canadian Bankers AICB. Completing the PFP program will qualify you to write the Certified Financial Planner CFP examination offered by the Financial Planners Standards Council FPSC of Canada.
Through the elective courses, the MS in Banking and Finance Program students can take the required courses at EMU on-line and prepare themselves to write the CFP examination by successfully completing the Canadian Securities Course CSCFinancial Planning I and II courses. This is a renowned professional certificate in the area of investment appraisal that graduate students can obtain while studying at Eastern Mediterranean University.
Admission Requirements Applicants are expected to satisfy general admission requirements of the Institute. Applicants to the MS program should have undergraduate degree with a CGPA greater than 2.
- Die Bewerbung ist rechtzeitig per E-Mail an eine der folgenden Adressen zu richten:
- Stefano Herzel Cesaroni Giulia, "Contingent Convertible Bonds - A Market-Conform Equity Derivative Model", Advisor:
- Language You should write your thesis in English.
Research Interests Public Finance, Economic Development, Taxation, Investment Appraisal, Project Finance and Risk Analysis, Micro And Small Enterprise Finance, Financial Liberalization, Financial Crises and Restructuring, Banking Master thesis banking and finance and Performance, Social Capital, Dividend Policy, Equity Offerings, Capital Structure, Emerging Markets Finance, Corporate Governance, International Economics, International Trade Theory And Policy, International Finance, Exchange Rate, Economics Policy and Regimes, Econometrics and Growth Models, Microeconomic Theory and Policy, Structure-Conduct and Performance in Banking Financial System and Economic Growth, Governance and Ownership Issues in Banking, Banking Crises and Banking Failures, Profitability in Banking, Capital Adequacy in Banking, Supervision And Regulation, Marketing Strategies in Financial Services, Banking in EU, Financial Marketing, Monetary Union.