* Master of Business Administration (MBA): Many MBA programs have concentrations or electives in finance, investments, and portfolio management that delve into stock market analysis, trading strategies, and risk management. This is probably the closest general option.
* Master of Science in Finance (MSF): These programs typically offer a more focused curriculum on financial markets, including equity valuation, portfolio theory, and derivative securities. They often provide a strong theoretical and practical foundation relevant to the stock market.
* Master of Science in Financial Engineering (MSFE): This is a more quantitative and mathematically rigorous option, focusing on the application of mathematical and computational methods to financial problems, including algorithmic trading and market modeling.
* Master of Science in Financial Analytics: These programs blend finance with data science, focusing on the use of data analysis techniques to inform investment decisions and understand market trends.
While none directly say "stock market," these programs equip students with the knowledge and skills necessary to understand, analyze, and potentially operate within the stock market. The specific curriculum will vary between universities and programs, so it's important to research specific program details to see how closely they align with your interests.