University of Cincinnati

Course Details

PhD in Finance

Course Description

The University of Cincinnati Department of Finance, Real Estate and Insurance and Risk Management teaching and research interests include: Corporate finance Financial management of financial institutions Working capital management Cost of capital and capital budgeting International finance Speculative markets Financial theory and strategy Experimental financial economics Real estate investment and capital market Real estate finance and valuation Investments and portfolio management The department is one of UC's best in terms of student retention, graduation, time-to-degree, and placement. At UC we have high standards and strive to continually improve. The University of Cincinnati Finance Department offers a rigorous, systematic, and highly structured doctoral program that develops quantitative, analytical, and teaching skills required for a successful career as a financial economist or as a faculty member.

Course Duration

NumberDuration
5year

Career outcomes

related career

PhD in Finance University of Cincinnati