The MSc in Finance and Risk Management offers its prospective students an advanced education in finance, quantitative risk management, actuarial sciences, banking and financial accounting.
The course is a combination of economic theory for finance with quantitative methods (probability theory, statistics, numerical analysis and computational methods) to quantify and manage risk arising from financial, economic and insurance applications.
The MSc mix theory and practice, academic lectures and interaction with finance and insurance practitioners and empirical sessions.
In the first year, with the common track, you will acquire an in-depth grounding with core courses from corporate finance, financial markets and institutions, quantitative and computational finance.
Extra Notes
The entry qualification documents are accepted in the following languages: English / French / Italian / Spanish.
Often you can get a suitable transcript from your school. If this is not the case, you will need official translations along with verified copies of the original.