24 monthsProgramme duration
2,554 EURTuition Fee/year
SepStarting Month
Programme overview
Main Subject
Economics and Econometrics
Degree
Other
Study Level
Masters
Study Mode
On Campus
The Quantitative Finance and Risk Management curriculum provides you with specialist knowledge in a wide range of areas, including: financial markets; the main areas of management of financial intermediaries (credit, finance, treasury, securities, organisation, planning and control); the management of financial investments; the measurement and management of financial risk; financial advice and insurance; supplementary pension schemes and the management of pension funds; the organisation of the internal processes; and the administrative management of banks and financial intermediaries in general. In opting for one of these two curricula, you would be able to apply for double degree programmes, participate in the Bloomberg Lab and other associated courses and earn CFA and AIAF (Italian Society of Financial Analysts) certification.
The Sustainable Finance curriculum focuses on the field of finance with an accent on sustainability and the various opportunities that the ever increasing interest in the impact of climate change and the achievement of global development goals is generating. The study plan ensures you acquire a command of the tools used to measure, understand and manage sustainability initiatives while taking into consideration both risks and opportunities as seen through the lenses of individual institutions and of the broader economic and financial system.
The Economics-QEM curriculum focuses on the in-depth study of two areas: economic issues in both the microeconomic and macroeconomic contexts; and quantitative methods for the theoretical and empirical analysis of these issues. If you choose this module, there is the opportunity to apply to participate in an Erasmus Mundus master's programme.
Programme overview
Main Subject
Economics and Econometrics
Degree
Other
Study Level
Masters
Study Mode
On Campus
The Quantitative Finance and Risk Management curriculum provides you with specialist knowledge in a wide range of areas, including: financial markets; the main areas of management of financial intermediaries (credit, finance, treasury, securities, organisation, planning and control); the management of financial investments; the measurement and management of financial risk; financial advice and insurance; supplementary pension schemes and the management of pension funds; the organisation of the internal processes; and the administrative management of banks and financial intermediaries in general. In opting for one of these two curricula, you would be able to apply for double degree programmes, participate in the Bloomberg Lab and other associated courses and earn CFA and AIAF (Italian Society of Financial Analysts) certification.
The Sustainable Finance curriculum focuses on the field of finance with an accent on sustainability and the various opportunities that the ever increasing interest in the impact of climate change and the achievement of global development goals is generating. The study plan ensures you acquire a command of the tools used to measure, understand and manage sustainability initiatives while taking into consideration both risks and opportunities as seen through the lenses of individual institutions and of the broader economic and financial system.
The Economics-QEM curriculum focuses on the in-depth study of two areas: economic issues in both the microeconomic and macroeconomic contexts; and quantitative methods for the theoretical and empirical analysis of these issues. If you choose this module, there is the opportunity to apply to participate in an Erasmus Mundus master's programme.
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