24 monthsProgramme duration
17,000 EURTuition Fee/year
SepStarting Month
Programme overview
Main Subject
Economics and Econometrics
Degree
MSc
Study Level
Masters
Study Mode
On Campus
The Master’s Degree Programme in Finance at Luiss, ranked among the best in the world according to the Financial Times, prepares students to operate successfully in corporate finance and global financial markets.
The programme combines a strong theoretical foundation with a practical and applied approach, equipping students with the analytical tools needed to understand financial systems and support strategic decision-making. Teaching combines lectures, case studies, simulations, the use of professional financial software and direct interaction with industry professionals. Through the analysis of real market scenarios and complex business decisions, students develop advanced analytical, quantitative and decision-making skills while gaining practical experience in modern financial environments.
The curriculum focuses on three core areas – Corporate Finance, Financial Markets and Risk Management – and prepares graduates for careers in corporate finance departments, investment banking, financial consulting and asset management. Students may specialise through different majors and gain international exposure through exchange programmes or internships abroad, with at least one international experience required during the programme.
• Degree class: LM-77
• Programme Directors: Prof. Andrea Polo, Prof. Paolo Santucci De Magistris
• Duration: 2 years (120 ECTS)
• Language: English
Programme overview
Main Subject
Economics and Econometrics
Degree
MSc
Study Level
Masters
Study Mode
On Campus
The Master’s Degree Programme in Finance at Luiss, ranked among the best in the world according to the Financial Times, prepares students to operate successfully in corporate finance and global financial markets.
The programme combines a strong theoretical foundation with a practical and applied approach, equipping students with the analytical tools needed to understand financial systems and support strategic decision-making. Teaching combines lectures, case studies, simulations, the use of professional financial software and direct interaction with industry professionals. Through the analysis of real market scenarios and complex business decisions, students develop advanced analytical, quantitative and decision-making skills while gaining practical experience in modern financial environments.
The curriculum focuses on three core areas – Corporate Finance, Financial Markets and Risk Management – and prepares graduates for careers in corporate finance departments, investment banking, financial consulting and asset management. Students may specialise through different majors and gain international exposure through exchange programmes or internships abroad, with at least one international experience required during the programme.
• Degree class: LM-77
• Programme Directors: Prof. Andrea Polo, Prof. Paolo Santucci De Magistris
• Duration: 2 years (120 ECTS)
• Language: English
Admission Requirements
Join a global community of talented students at Luiss University. Programs are open to qualified candidates from Italy and abroad who seek an international learning experience rooted in excellence, innovation, and professional growth.
For complete and updated information on entry requirements and application procedures, please visit the official Luiss website.
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