There is a large and growing demand for such analytical skills in the world of finance. Do you have a mind for mathematics and an interest for data driven analysis applied to financial decision making? This may well be the track for you.
- Become fluent in complex risk modelling for regulatory regimes like Basel III;
- understand and help develop the role of big data in finance;
- launch your career at a faculty with a fine reputation in finance, big data and econometrics.
One master's programme, five tracks
The Master?s programme in Finance consists of five top-level academic specialisation tracks that build on the strengths of the UvA Finance Group:
- Asset Management
- Banking and Regulation
- Corporate Finance
- Quantitative Finance
- Real Estate Finance