Master’s Programme in Banking and Finance
The Master’s in Banking and Finance educates students in advanced theoretical and empirical financial analysis. The programme is designed to attract students from business administration and economics backgrounds that are interested in specialized finance training.
Banks are central to the financial architecture of all societies. The changing global financial landscape offers opportunities for innovative thinking to respond to unique demands for financial services by businesses and society at large. This programme is designed to assist students develop global skills and proficiencies to work anywhere in the banking and finance world through a distinctive blend of robust course content and an international student and faculty body.
If you are motivated and driven to be part of the decision making process in a global financial structure, the Master's programme in Banking and Finance will match your ambition with its scope of content, context, and relevance. The programme emphasizes both theoretical as well as practical applications of finance in a global context.
As a graduate from our Master's in Banking and Finance programme, you will have gained a high level of theoretical as well as practical financial knowledge through courses offered in Financial theory such as portfolio theory, corporate finance and financial derivatives, econometric and financial modelling, as well as financial institutions in a global context.
Students are taught by committed full-time and part-time faculty members, all of whom are engaged in innovative international financial research. While the programme provides students with a strong foundation in finance, the curriculum was designed to foster critical thinking, deep learning and ethical business behaviour.
The program is offered jointly by Stockholm University School of Business and the Department of Economics.
Information for admitted students autumn 2024
Congratulations! You have been admitted at Stockholm University and we hope that you will enjoy your studies with us.
In order to ensure that your studies begin as smoothly as possible we have compiled a short checklist for the beginning of the semester.
Follow the instructions on whether you have to reply to your offer or not.
universityadmissions.se
Checklist for admitted students
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Activate your university account
The first step in being able to register and gain access to all the university's IT services.
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Register at your department
Registration can be done in different ways. Read the instructions from your department below.
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Read all the information on this page
Here you will find what you need to know before your course or programme starts.
IMPORTANT
Your seat may be withdrawn if you do not register according to the instructions provided by your department.
Information from the department - programmes
Welcome to Stockholm Business School (SBS). Click on the link to get more information about the start of your semester and how to register in order not to lose your place.
Welcome activities
Stockholm University organises a series of welcome activities that stretch over a few weeks at the beginning of each semester. The programme is voluntary (attendance is optional) and includes Arrival Service at the airport and an Orientation Day, see more details about these events below.
Your department may also organise activities for welcoming international students. More information will be provided by your specific department.
Find your way on campus
Stockholm University's main campus is in the Frescati area, north of the city centre. While most of our departments and offices are located here, there are also campus areas in other parts of the city.
Read more
For new international students
Banks are central to the financial architecture of all societies. The changing global financial landscape offers opportunities for innovative thinking to respond to unique demands for financial services by businesses and society at large. This programme is designed to assist students develop global skills and proficiencies to work anywhere in the banking and finance world through a distinctive blend of robust course content and an international student and faculty body.
If you are motivated and driven to be part of the decision making process in a global financial structure, the Master's programme in Banking and Finance will match your ambition with its scope of content, context, and relevance. The programme emphasizes both theoretical as well as practical applications of finance in a global context.
As a graduate from our Master's in Banking and Finance programme, you will have gained a high level of theoretical as well as practical financial knowledge through courses offered in Financial theory such as portfolio theory, corporate finance and financial derivatives, econometric and financial modelling, as well as financial institutions in a global context.
Students are taught by committed full-time and part-time faculty members, all of whom are engaged in innovative international financial research. While the programme provides students with a strong foundation in finance, the curriculum was designed to foster critical thinking, deep learning and ethical business behaviour.
The program is offered jointly by Stockholm University School of Business and the Department of Economics.
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Programme overview
The Master's in Banking and Finance consists of 4 semesters (2 years) full time study.
Year 1
Semester 1
In the first half of the first semester, students with a background in business take two courses in Economics at intermediary level, while and students with a background in economics take courses in Business at intermediary level. The second part of the first semester the programme offers courses in Financial Institutions Management and Econometrics.
Background in Business Administration
Intermediate Microeconomics, 7,5 (EC2101)
Intermediate Macroeconomics, 7,5 (EC2201)Background in Economics
Financial Reporting, 7,5 (FE3431)
Corporate Finance, 7,5 (FE3136)Mutual courses in the second half of Semester 1
Financial Institutions Management, 7,5 (FE5122)
Econometrics for Finance, 7,5 (FE4142)Semester 2
The second semester develops the disciplinary core and consists of four courses providing training in financial instruments and technical quantitative skills: Financial Derivatives and Risk Management, Fixed Income Securities, Portfolio Theory and Econometrics.
Fixed Income Securities, 7,5 (FE4126)
Portfolio Theory, 7,5 (FE4128)
Financial Derivatives and Risk Management, 7,5 (FE4127)
Time Series Econometrics for Finance, 7,5 (FE4143)Year 2
Semester 3
The third semester consists of four core courses.
Note: To enter the fourth semester and the degree project the student should have completed a minimum of 75 ECTS within the programme.
Sustainable Finance (FE5135),7,5 ECTS
Financial Market Structure (FE5133), 7,5 ECTS
Advanced Financial Theory (FE5125), 7,5 ECTS
Advanced Financial Empirical Research (FE5126), 7,5 ECTSSemester 4
The fourth semester consists of writing a Master’s thesis on a programme relevant topic. The dissertation enables you to further advance skills and knowledge you have developed during the taught courses by applying relevant theories and methods to an empirical problem. The thesis is expected to give a substantial contribution to research. The Master's thesis is written in pairs of two students.
Independent project
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How to apply
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Career opportunities
The Master's in Banking and Finance programme provides a solid background for students pursuing a professional career in the financial industry as financial analysts, chief financial officers and portfolio managers. Prospective employers are commercial banks, central banks, investment banking firms and other international financial institutions. The programme also provides a solid background for students pursuing a career in academic research and teaching in the area of financial economics.
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Contact
For more information about this programme, please contact our Academic Advisors