Finance
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The Master programme stretches over two years (120 ECTS) and is structured to allow the students to personalise their study curricula according to their individual interests and educational backgrounds. It includes four semesters of lectures and seminars, and an internship. Typically, in the first semester students attend the foundation courses in order to acquire the basics of finance, accounting and statistics. The second and third semesters are dedicated to core courses and electives. The final thesis should show the candidate’s ability to integrate acquired knowledge in the advanced scientific analysis of a topic in finance.The Master programme includes four semesters of lectures and seminars and an internship. A thorough understanding of risk is necessary to the good management of financial assets. Therefore the first semester is dedicated to the economic and statistical foundations of financial markets and the quantitative disciplines necessary to model them. This knowledge is then applied to the analysis of financial instruments and their markets in the core courses of the second and third semesters. Because the programme is based on rigorous quantitative methods, students are required to take the core courses before they can chose electives. The final thesis should then show the candidate’s ability to integrate acquired knowledge in the scientific analysis of quantitative finance problems.
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Admissions Requirements
Applicants should have a bachelor degree with a major in Economics or related disciplines.Applicants from non-anglophone countries must provide proof of English proficiency.Application deadline for non EU students is April 30.
Related Programs
Program Information
Lugano
Ticino
6900
Switzerland
- 2 years
- Full Time
- On Campus Learning
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