Master's Degree in Mathematics for Finance

Profession-oriented master's degree in which you will gain knowledge of mathematics and theoretical aspects of finance that will open the doors to a career in the financial sector

Contents

1st part: academic studies, late September to late May May.
- Financial products and markets,
- Insurance and finance,
- Financial strategies,
- Programming,
- Time series,
- Multivariate extreme value statistics
- Econometrics
- Stochastic calculus
- Equations in partial derivatives
- Management of portfolios, risks and derivatives,
2nd part: placement period, of between three and six months, and master's dissertation.
- Placement in a financial organisation.

TCS.Gen.modul 1. Mathematics for Financial Instruments

Subject Credits Type

Introduction to finance

10 ECTS

Obligatory

Basic Mathematics and programming

10 ECTS

Obligatory

Advanced Mathematics

10 ECTS

Obligatory

Professional management

10 ECTS

Obligatory

TCS.Gen.modul 2. Work placement and Master's dissertation

Subject Credits Type

In-company work placement

20 ECTS

Obligatory

Master's dissertation

6 ECTS

Obligatory

Itinerary

The graduate diploma Mathematics for Finance is included in the master's degree.

Related programmes

Graduate Diploma in Mathematics for Finance

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