Masters in Financial mathematics and market analysis

2 Years On Campus Masters Program

Financial University under the Government of the Russian Federation

Program Overview

The educational program is aimed at training specialists in developing strategies for managing a portfolio of financial assets, trading in the stock and derivatives markets using modern mathematical models and methods of technical and fundamental analysis, risk assessment and management, designing new financial products using derivative financial instruments in banks, insurance , investment and management companies, pension funds. Teachers of the Department of Data Analysis, Decision Making and Financial Technologies take part in the implementation of the program, which provides the necessary mathematical training for the graduate, providing the skills to solve specific applied problems using modern methods of mathematical modeling and computer technology.

Program Key Stats

‎₽350000 (Annual Cost)



Eligibility Criteria


Additional Information & Requirements

Career Options

  • Financial manager
  • Financial / investment analyst
  • Financial / investment advisor
  • Financial risk manager;

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