QS Rank:

233

Maastricht University

Limburg
,Netherlands

Program Name
Masters in Financial Economics - Financial Analysis

Deadline
November 01st, 2023
Overview

The Master of Financial Economics - Financial Analysis program at Maastricht University is designed to equip students with an advanced understanding of financial management and analysis in a global context. This esteemed program offers an enriching curriculum that emphasizes both theoretical foundations and practical applications, ensuring students are well-prepared for a dynamic career in finance. With a focus on developing analytical skills, financial modeling, and investment strategies, graduates can anticipate a high level of employability in the competitive financial sector.
The program's curriculum is meticulously structured to cover essential topics in financial economics, including risk management, corporate finance, financial markets, and investment analysis. Courses such as Advanced Financial Management, Financial Risk Management, and Investment Analysis and Portfolio Management provide students with in-depth knowledge and hands-on experience. The inclusion of Data Analytics for Finance equips students with the tools to analyze financial data effectively and derive actionable insights, a key skill in today’s data-driven financial landscape.
Maastricht University's School of Business and Economics boasts a distinguished faculty comprised of experts in finance and economics. Many of the faculty members have extensive practical experience in the industry, as well as a robust academic background. Their innovative teaching methodologies foster an engaging learning environment where students are encouraged to think critically, collaborate, and challenge existing paradigms. Faculty members often involve students in their ongoing research projects, giving them a unique opportunity to gain first-hand experience in academic research.
Research is a cornerstone of the Master’s program, and Maastricht University offers a wealth of resources to support students’ academic pursuits. Students have access to cutting-edge labs and databases that facilitate comprehensive market analysis and financial modeling. Additionally, the university encourages participation in various research groups and conferences, allowing students to showcase their findings and network with industry professionals. These research opportunities not only enhance the learning experience but also improve students' job prospects upon graduation.
Furthermore, the program’s strong ties to industry ensure that students can leverage internships and networking opportunities. With a diverse range of partnerships with leading financial institutions, students often gain invaluable work experience through internships that can lead to full-time job offers after graduation. The university’s career services team is dedicated to guiding students through the job search process, helping them prepare resumes, conduct mock interviews, and connect with potential employers.
Upon completion of the Masters in Financial Economics - Financial Analysis, graduates can expect to find employment in various sectors including investment banking, asset management, financial consulting, and risk management. The program’s focus on practical skills and industry relevance translates into a multitude of career pathways, with many alumni currently holding prestigious positions at top-tier financial institutions worldwide. Alumni testimonials highlight how the program has significantly impacted their professional journeys and equipped them with the skills needed to excel in their roles.
Why Study Financial Economics - Financial Analysis at Maastricht University
- A popular choice for international students, fostering a diverse community where learning from different perspectives enriches the educational experience.
- Learn from the best faculty members, many of whom are leading researchers in their fields, and have the opportunity to become their research assistants.
- Access to cutting-edge labs and resources designed to facilitate advanced research work, enhancing your learning experience.
- Excellent placement programs and connections with industry leaders, providing students with outstanding internship and job opportunities after course completion.
In terms of admission requirements, prospective students must hold a relevant undergraduate degree and demonstrate proficiency in English through standardized tests. Accepted test scores include a minimum IELTS score of 6.5 or a TOEFL score of 90. Additional requirements include a completed application form, transcripts, a statement of purpose, and letters of recommendation. The application deadline for the upcoming academic year is November 1st, 2023, so interested candidates are encouraged to apply early to secure their place in this prestigious program.
Overall, the Master’s in Financial Economics - Financial Analysis program at Maastricht University stands as an excellent option for students aiming to advance their careers in finance. With a strong curriculum, world-class faculty, and plentiful career opportunities, graduates are prepared to meet the challenges of a rapidly evolving financial landscape.

Duration
12 Months
Ranking
#189
US World and News Report
#121
The World University Rankings
#233
QS World University Rankings
Class Profile
Diversity
Others:
10%Asia:
20%Europe:
50%North America:
10%South America:
5%Oceania:
5%Africa:
10%Eligibility Criteria
English Proficiency Tests
IELTS
6.5
TOEFL
90
Application Requirements
Here's everything you need to know to ensure a complete and competitive application—covering the key documents and criteria for a successful submission.
Application Deadlines
Standard Deadline | |
---|---|
Winter | Nov 1, 2023 |
FAQs
- Admission Requirements
To apply for the Master of Financial Economics - Financial Analysis program at Maastricht University, prospective students need to fulfill the following requirements:
- Hold a relevant undergraduate degree.
- Demonstrate proficiency in English, with accepted standardized test scores being a minimum IELTS score of 6.5 or a TOEFL score of 90.
- Complete an application form.
- Submit transcripts from previous educational institutions.
- Provide a statement of purpose outlining your motivation for the program.
- Include letters of recommendation.
The application deadline for the upcoming academic year is November 1st, 2023, so candidates are encouraged to apply early to secure their place in the program.
- Curriculum Structure
The program's curriculum is meticulously structured to cover essential topics in financial economics, which include:
- Risk management
- Corporate finance
- Financial markets
- Investment analysis
Students will engage in courses such as Advanced Financial Management, Financial Risk Management, and Investment Analysis and Portfolio Management, providing them with both in-depth knowledge and hands-on experience in these areas. Additionally, the inclusion of Data Analytics for Finance equips students with the necessary tools to analyze financial data effectively, which is crucial in today’s data-driven financial landscape.
- Teaching Methods
The Master of Financial Economics - Financial Analysis program employs innovative teaching methodologies that foster an engaging learning environment. Students are encouraged to:
- Think critically
- Collaborate with peers
- Challenge existing paradigms
Additionally, faculty members often involve students in their ongoing research projects, providing them with unique opportunities to gain first-hand experience in academic research.
- Unique Aspects of the Program
Several unique aspects make the Master of Financial Economics - Financial Analysis program stand out:
- A diverse and international student body, enriching the educational experience through varied perspectives.
- Access to cutting-edge labs and resources designed for advanced research work.
- Excellent placement programs and strong connections with industry leaders, facilitating outstanding internship and job opportunities post-graduation.
- Career Prospects
Upon completion of the Master's in Financial Economics - Financial Analysis, graduates can expect to find employment in various sectors, including:
- Investment banking
- Asset management
- Financial consulting
- Risk management
The program's focus on practical skills and industry relevance translates into numerous career pathways, with many alumni holding prestigious positions at top-tier financial institutions worldwide. Alumni testimonials highlight the program's significant impact on their professional journeys, equipping them with the necessary skills to excel in their roles.
- Research Support
Research is a cornerstone of the Master's program, and Maastricht University provides a wealth of resources to support students' academic pursuits. These resources include:
- Access to cutting-edge labs and databases for comprehensive market analysis and financial modeling.
- Opportunities to participate in various research groups and conferences, allowing students to showcase their findings and network with industry professionals.
Such research opportunities not only enhance the learning experience but also significantly improve students' job prospects upon graduation.
- Internship Opportunities
The program maintains strong ties to industry, which ensures that students can leverage internships and networking opportunities. The university has established a diverse range of partnerships with leading financial institutions, allowing students to gain invaluable work experience through internships that can often lead to full-time job offers after graduation.
The university’s career services team is dedicated to assisting students throughout the job search process, including:
- Preparing resumes
- Conducting mock interviews
- Connecting students with potential employers
- Faculty Reputation
Maastricht University's School of Business and Economics boasts a distinguished faculty composed of experts in finance and economics. Many faculty members have extensive practical industry experience, alongside a strong academic background. This combination enhances the quality of education and allows students to learn from leading researchers in their fields.
Moreover, the faculty's innovative teaching methods create an engaging learning environment where students are encouraged to participate actively and think critically.
- Reasons to Choose This Program
The Master's in Financial Economics - Financial Analysis at Maastricht University offers several compelling reasons for prospective students:
- A popular choice for international students, fostering a diverse community.
- Access to leading faculty members and the opportunity to become research assistants.
- Cutting-edge labs and resources to facilitate advanced research.
- Excellent connections with industry leaders and outstanding job placement opportunities.
Overall, the program stands as an excellent option for students aiming to advance their careers in finance, with a strong curriculum and numerous career opportunities.
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