With its strongly quantity-oriented approach, the programme combines state-of-the-art topics with advanced statistical and probability techniques for financial market analysis. It includes internships, intensive programmes and workshops developed in cooperation with companies. The international aspect is characterised by the pathway to a double degree.
Core subjects range from mathematics, probability, economics, statistics and finance to subjects with which you can customise your training. The theory lectures are complemented by workshops for testing the practical application and effectiveness of the models learned in simulations that recreate real financial market environments.
Enjoy a range of international opportunities to become more competitive in the labour market: you can do internships with important stakeholders in the financial sector and participate in intensive programmes with foreign partners and double degree programmes in Germany, Austria, France and Poland.
NOTE: The university may have additional program-specific eligibility requirements.
It is recommended to verify these on the official university website.