Online MS in Finance at Baruch College

USD 30,000

Baruch College, USA

Type: Masters Duration: 2.0 years

Explore the Online MS in Finance program at Baruch College. This program is offered in USA and provides an excellent learning opportunity in Masters studies.

The Online MS in Finance at Baruch College's Zicklin School of Business is designed to equip students with the skills necessary for a successful career in various finance roles, including financial analyst, portfolio manager, and investment banking professional. The program offers a rigorous curriculum that mirrors the on-campus MS in Finance, ensuring students receive the same high-quality education from renowned faculty. With a focus on practical experience, students will learn to use advanced analytical tools and programming languages such as Python and R. The program is fully online and delivered asynchronously, allowing for flexibility in scheduling. Students will also benefit from career support services and resources available through the Graduate Career Management Center. The program requires a total of 30 to 39 credits, depending on preliminary course requirements, and is part of the CFA Institute University Affiliation Program, preparing students for the CFA exams.

University
Baruch College
University Location
USA (Online)
Program Duration
2.0 years
Ranking
Not available
Part-time allowed
Yes

Required Courses
  • Business Communication I
  • Econometrics: Theory and Applications I
  • Intermediate Corporate Finance
  • Investment Analysis
Elective Courses
  • Money, Banking, and Monetary Policy
  • Econometrics: Theory and Applications II
  • Mergers and Acquisitions
  • Venture Capital and Entrepreneurial Finance
  • Futures and Forward Markets
  • Management of Financial Institutions
  • International Financial Markets
  • International Corporate Finance
  • Equity Markets: Trading and Structure
  • Seminar in Finance
  • Advanced Corporate Finance
  • Advanced Investment Analysis
  • Debt Instruments and Markets
  • Options Markets
  • Measurement and Management of Market Risk I
  • Measurement and Management of Market Risk II
  • Measurement and Management of Credit Risk I
  • Measurement and Management of Credit Risk II
  • Measurement and Management of Risks in Operations and Information Technology
  • Measurement and Management of Risks in Investments
  • Implications of Corporate Governance, Regulation, and Ethics for Risk Management
  • International Financial Markets
  • Debt Securities
  • Futures and Forwards
  • Options
  • Venture Capital
  • Special Topics in Investments
  • Special Topics in Corporate Finance
  • Risk Management in Financial Institutions