- The Master's degree in Quantitative Finance provides a unique opportunity for graduate study of frontier mathematical and statistical techniques applied to financial markets.
- After the first year of introduction to the concepts of probability, economics,s, and finance, the student will be driven to a specialized study leading to four main professional figures:
- Pricer: will master the most advanced techniques for the evaluation of financial and insurance products
- Asset Manager: will master the most advanced techniques for the design of managed funds products
- Risk Manager: will master the most advanced techniques to measure risk in the financial and insurance industry
- Insurance market specialist: will master the most advanced techniques for the design and evaluation of insurance products