Program Image Actuarial Science and Mathematical Finance: Quantitative Risk Management

Actuarial Science and Mathematical Finance: Quantitative Risk Management

Master

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Become a high-level risk professional and specialize subjects such as Financial Econometrics and Banking Risk Management in the Master's track Quantitative Risk Management.
The economic, financial and societal developments of our times - crises, systemic risks, contagion, unemployment, aging - call for high-level risk professionals with a rigorous and solid training, that is based on forefront academic research and simultaneously explicates the practical usefulness of the methods, techniques and tools offered. This asks for a unique combination of mathematics, probability and statistics, and optimization and econometrics on the one hand, and economics, insurance and finance, and computing on the other hand.

Language

English

Title

Master of Science

Duration

1 year

ECTS credits

Information not available

Accreditation

NVAO

Numerus Fixus

Tuition fee 2024/2025

€ 2,530


Admission

Application requirements

Information not available

Language requirements

6.5
IELTS overall band
6
IELTS listening
6
IELTS reading
6
IELTS writing
6
IELTS speaking
92
TOEFL internet based

Check when you can start and what you have to pay!

Tuition fees  
€ 2,530
Information not available
Information not available
Start date App. deadline EU/EEA App. deadline Non-EU/EEA
1 Sep '24 1 May '24 -

Contact

University of Amsterdam

Main address
Gebouw E, Roetersstraat 11
1018 WB Amsterdam
020-525 1401

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