MSc Finance and Insurance Mathematics

2 Years On Campus Masters Program

University of Munich LMU

Program Overview

The study of the master's degree program in finance and actuarial mathematics combines interdisciplinary specialized knowledge of mathematics (in particular finance and actuarial sciences as well as stochastics and numerics), economics and statistics. The focus is on teaching basic structures and techniques for analyzing and solving mathematical problems in the finance and insurance industries.

Program Key Stats




Eligibility Criteria


80
6
80

Additional Information & Requirements

Career Options

  • Equity Research Analyst
  • Quantitative Research Associate
  • Investment Analyst
  • Data Analyst
  • Pricing Analyst
  • Risk Analyst

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