Masters in Quantitative Finance

2 Years On Campus Masters Program

University of Bologna

Program Overview

The programme is oriented to providing students with specific high-level specialisation in mathematical, statistical and computing techniques applied to financial and insurance markets. The study programme includes quantitative learning areas, adopting instruments to develop quantitative finance applications, studies in the economic and legal fields, designing the context of application, as well as in the financial and actuarial fields, with a view to producing the professional figures targeted by this programme. It therefore includes a large number of course units in mathematical subjects, distinguishing itself from other 2nd cycle financial degree programmes, and by the inter-disciplinary merger of contents referring to other subject areas: Mathematical Methods for Economics and Actuarial and Financial Sciences, Statistics, Econometrics, Numerical Methods and information technology, Corporate Finance. The latter sector is considered the context in which all quantitative knowledge is applied. Students are also offered the chance to carry out an internship in financial intermediation, insurance or consulting firms.

Program Key Stats

€3000 (Annual cost)



60 %

Eligibility Criteria


80
6.5
80

Additional Information & Requirements

Career Options

  • Quantitative Finance Analyst
  • Researcher
  • Survey-Sampler
  • Cost Research Associate
  • Analyst/Associate

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