Each academic year has 2 semesters, both divided into 3 blocks. Choose 1 of the tracks in this Master's programme to explore the subject that fits your interests and ambitions.
Understand core financial concepts and theories related to different types of investments and learn to apply them to practical problems faced by financial practitioners.
Get introduced to fundamental concepts in Finance and build a strong framework applying the most commonly used tools in valuation and capital budgeting.
Develop your personal and professional leadership skills and gain top management insights. The focus is on exploring your own leadership styles, strengths and areas for development.
Learn to apply conceptual aspects of financial accounting and reporting to the financial statements of real-world organisations.
Get an overview of key issues in financial risk management. Learn to evaluate, measure and manage financial risks to which companies are exposed.
Learn to build financial models for corporate finance, investments, portfolios and advanced derivatives pricing using Monte-Carlo simulations.
Enhance your skills in econometric analysis of macroeconomic and financial data, emphasising regression theory and time series analysis.
Prepare yourself for writing your Master’s thesis. Gain experience with applied scientific research in the field of finance and improve your skills for conducting your own research.
Grow awareness of the significance of (personal) ethics. Develop an ethical approach in business and get insight into the importance of laws and codes of conducts/ ethics.
Conduct research on a subject relevant to your organisation or industry. Your employer will be able to profit directly from your research results.
The General track offers cutting-edge insights into corporate finance, asset management and banking. You get to attend guest lectures from leading finance academics, policymakers and global figures. Choose 2 mandatory electives and up to 2 additional courses to suit your interests and career goals.
Develop the necessary skills to design, value and manage risks using derivatives contracts. Acquire essential skills related to hedging, speculation and arbitrage.
Gain knowledge of key issues in M&A and restructuring. Understand the theoretical foundations and conceptual underpinnings and learn to apply concepts and ideas in the real business world.
Build a framework for making financial decisions in an international context by extending the main principles in corporate finance and investments to a cross‐border setting.
Take an active role in the industry’s transformation by choosing our Finance and Technology track. From big data to machine learning, you learn to use Fintech to your advantage. You can further specialise your programme by choosing 2 additional courses.
Learn how to apply computing technology to financial trading strategies and use Python to programme various financial algorithms.
Get acquainted with the key principles, behaviors, tools and frameworks enabling start-ups and start-up initiatives within large corporates to capture digital opportunities.
Discover topics like digital currencies, blockchains in the FinTech field.
Learn to run your own private blockchain and gain an understanding of what it takes to launch a financial service on a blockchain.
Acquire a statistical, technical and intuitive understanding of machine learning and AI techniques. Learn methods to assess and enhance the performance of these techniques.
Jens Martin (Programme Director): ‘The MIF programme offers two tracks. In the General track, students have room to customise their programme with electives. Whereas the Fintech track prepares students for the future of finance by combining knowledge about finance and technology.’
General track |
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Restricted-choice electives | Free-choice electives |
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Free-choice electives |
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Learn from both your instructors with in-depth industry experience and a world-class academic reputation and from your international and motivated classmates. All with highly diversified industry backgrounds. Theory discussions will challenge your academic thinking and help you apply the acquired knowledge to real business cases and to your own organisation, helping you to become a confident, inspiring and committed leader in finance.
Learn and work together with motivated fellow students. Together, you are a well-balanced mix of nationalities with different views and opinions, who are working in a wide variety of industries. This diversity offers you the opportunity to widen your perspective and have a once-in-a-lifetime learning experience.
The MIF programme is a proud partner of the prestigious Chartered Financial Analyst Society (CFA) and the Chartered Alternative Investment Analyst Institute (CAIA), two highly-regarded organisations in the finance industry. You may also benefit from the scholarships CFA and CAIA offer.
The CFA programme partnership is only awarded to a select number of institutions. As an academic partner, we are recognised as a finance degree programme that is academically rigorous and closely aligned to the CFA programme curriculum. The partnership includes:
MIF is CAIA's only academic partner in the Netherlands. Our partnership gives you access to CAIA Association's curriculum and events. Other aspects of the partnership include: