With its strongly quantity-oriented approach, the programme combines state-of-the-art topics with advanced statistical and probability techniques for financial market analysis. It includes internships, intensive programmes and workshops developed in cooperation with companies. The international aspect is characterised by the pathway to a double degree.
Core subjects range from mathematics, probability, economics, statistics and finance to subjects with which you can customise your training. The theory lectures are complemented by workshops for testing the practical application and effectiveness of the models learned in simulations that recreate real financial market environments.
Enjoy a range of international opportunities to become more competitive in the labour market: you can do internships with important stakeholders in the financial sector and participate in intensive programmes with foreign partners and double degree programmes in Germany, Austria, France and Poland.
Acquisition of advanced quantitative skills and knowledge aimed at financial market analysis.
Specialised training on topics of your choice, having in mind a professional figure who specialises in specific areas of expertise.
Competitive advantage on the international market thanks to a double-qualification programme.
Networking with the world of work through numerous events dedicated to job placements and available internship opportunities.
Training will always be in line with market demands thanks to the careful internal and external monitoring of the programmes offered.
74% International students and students not residing in the region
65% Graduates aligned to the exam schedule
30% Graduates with experience abroad
83% Graduates satisfied with their studies
83% Graduates who are working
9% Graduates who are not working but are studying or not looking for work
8% Graduates who are not working but looking for work
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