Quantitative Finance and Insurance
Tuition
Duration
Admissions Deadline
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Profile
The two years Master Program in Quantitative Finance and Insurance represents a challenging opportunity for acquiring high level competencies, both methodological and professional, in financial and actuarial modelling and decision making. Our graduates will be able to correctly identify and approach the different problems they will face in a risky and rapidly changing environment, exploiting a good mastering of Mathematics (Differential and Integral Calculus, Optimization, Differential Equations, and more), Probability and Statistics at a not elementary level, a deep understanding of “real life” Finance and Insurance, being risk conscious in a wide sense.
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Admissions Requirements
Applicants need a bachelor degree with a major in related field.Applicants from non-anglophone countries must provide proof of English proficiency.Application deadline for non EU students is November 30.
Related Programs
Program Information
Turin
Piedmont
10123
Italy
- 2 years
- Full Time
- On Campus Learning
Additional Information
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