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Course Summary

Course Description

1-year Master's programme preparing specialists for financial sector, banking and insurance industries in quantitative methods of risk assessment and hedging, providing knowledge and skills in two major areas - financial engineering and insurance mathematics.

The tuition fee for the programme is 3200 EUR/year. There is a possibility to be granted a monthly stipend to cover living expenses.

Qualification: four-year Bachelor’s degree or equivalent qualification (240 ECTS) or Master’s degree or equivalent qualification in the areas of Natural and Exact Sciences, or Economics; eligible applicants must have completed the following in their prior learning period: a) Mathematics, including Calculus, Measure-Theoretic Probability, Statistics (at least 30 ECTS), b) Economics, including Corporate Finance, Investments and Derivatives, Microeconomics (at least 15 ECTS), c) Computer Science (at least 9 ECTS); proof of English proficiency.

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