PhD Program in Finance in Balçova in Turkey

See PhD Programs in Finance 2017 in Balçova in Turkey

Finance

A Doctor of Philosophy degree, short Ph.D is an advanced academic degree earned in various fields, signifying major interests and accomplishments in research.

Such level of academic excellence in finance gives you confidence to analyze financial situations in not only a business environment but also in an individual level. You can analyze and adopt viable financial measures that will accrue huge benefits to the general performance of a person or a business entity.

Universities in Turkey provide either two or four years of education for undergraduate studies, while graduate programs last a minimum of two years. There are around 820 higher education institutions in Turkey including 76 universities with a total student enrollment of over 1 million. The quality of education at the Turkish universities varies greatly, some providing education and facilities on par with internationally renowned schools.

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PhD in Finance

Izmir University of Economics
Campus Full time 3 years September 2017 Turkey Balçova

Finance as an area of expertise has extended its scope with help of developments in recent years. Besides, risk management, derivative markets, banking, insurance, behavioral finance, investment analysis and management, financial modeling, international financial markets have become academic specialization fields as sub-disciplines of finance. [+]

PhD Programs in Finance in Balçova in Turkey. Finance as an area of expertise has extended its scope with help of developments in recent years. Besides, risk management, derivative markets, banking, insurance, behavioral finance, investment analysis and management, financial modeling, international financial markets have become academic specialization fields as sub-disciplines of finance. The aim of the PhD program in Finance is to develop academicians and professionals who are capable of conducting high quality scientific research and are eligible to meet the increasing demand for qualified manager in the field. Graduates of the program are leading researchers in the field of finance who are qualified in quantitative research methods in finance and financial econometrics, can follow theoretical literature in micro and macroeconomics, contribute to current issues in national and international financial system and create scholarly solutions to increase the financial efficiency of real sector firms. Courses FIN 603 Financial Econometrics FIN 601 Corporate Finance Theory ECON 601 Microeconomic Theory I ECON 603 Macroeconomic Theory I FIN 604 Quantitative Methods in Finance FIN 602 Empirical Research in Finance FIN 605 Financial Modelling ITF 603 Research Seminar in Finance ITF 693 Applied Scientific Research FIN 695 Comprehensive Exam FIN 699 Thesis Elective Courses ECON 604 Macroeconomic Theory II ECON 605 Statistics ECON 606 Econometrics FIN 610 International Financial Management FIN 611 Derivatives and Risk Management FIN 612 Behavioral Finance FIN 613 Financial Institutions and Markets FIN 614 Bank Management FIN 615 Stochastic Processes in Finance FIN 616 Time Series Analysis FIN 617 Market... [-]