Asset Management, MSc
| Program start date | Application deadline |
| 2025-09-01 | - |
| 2025-03-01 | - |
| 2026-09-01 | - |
| 2026-03-01 | - |
| 2027-09-01 | - |
| 2027-03-01 | - |
Program Overview
Asset Management, MSc
Our Master's degree programme Asset Management is application-oriented and provides students with in-depth knowledge in the areas of corporate finance, corporate structuring and consulting in an international context and in-depth knowledge in the areas of Portfolio Management and Trading, Financial Analysis and Investments, Risk Analysis and Decision-Making, Cryptocurrencies and International Markets and Stock Exchange as well as Project Management and Advanced Research Methodologies.
Graduates will have a broad, detailed and critical understanding of finance, and asset management at the current level of their field of study and will be able to apply this independently in professional contexts. They are able to independently acquire new knowledge as well as develop scientific questions, process them on the basis of the current state of research and generate innovative solutions.
The programme is aimed at graduates of economic subjects, in particular Financial Management, Real Estate Management, Business Administration and Economics.
Curriculum
From navigating the complexities of globalisation and the new economy to mastering the art of portfolio management and trading, our Asset Management MSc equips you to thrive in the ever-evolving financial landscape.
- Curriculum MSc Asset Management (120 ECTS)
- Curriculum MSc Asset Management (90 ECTS)
- Curriculum MSc Asset Management (60 ECTS)
Key Facts about MSc Asset Management
Our Locations
Explore our modern campuses and find out everything about our location Hamburg.
Fees
- EU applicants standard: from € 854 monthly
- Non-EU applicants standard: from € 12,000 yearly
Admission Requirements
Here are some things you will require for your application at the UE:
- Completed admission form
- Transcript & language proficiency
- CV & Copy of passport
- A portfolio is not required
Semesters & Credits
- 120, 90 or 60 ECTS
- Master of Science MSc
- Teaching language: English
- The programme starts in both the winter (September) and summer (March) term each year
- Classes are typically scheduled between Wednesdays & Saturdays
Spotlight Module "Portfolio Management and Trading"
In today’s dynamic financial landscape, effective portfolio management and trading are cornerstones of success. Our Specialisation Module in Portfolio Management and Trading equips you with the essential skills to navigate the complexities of the market. This programme delves into the fundamentals of portfolio construction, exploring strategies for diversification and risk management. You’ll gain insights into various asset classes and trading techniques, empowering you to make informed investment decisions. By the programme’s end, you’ll be well-positioned to excel in the world of asset management, with a strong foundation in portfolio management and trading practices.
UE Master's Reform
More flexible, more interdisciplinary, and more practice-oriented – the new Master’s programmes make the University of Europe for Applied Sciences (UE) even more attractive! Students of selected MA programmes at UE have the choice of a Master’s degree in 60, 90, or 120 ECTS which gives them full flexibility. Students can apply for one of the three options depending on the education they’ve already achieved and how many ECTS they’ve already accumulated in their previous Bachelor’s (or Master’s) courses. Practical experience will also be taken under consideration.
Collaboration Partners
Students benefit from the university’s collaborations with a range of leading companies and cultural institutions.
Learn from our Experts
Here you will find further valuable information about our professors and their career.
Prof. Dr. Thomas Burgartz
Dr. Thomas Burgartz is the dean of the Economics faculty and Head of various Bachelor and Master programs at UE Germany, Iserlohn campus.
