Faculty of Economics
Master's Degree

Financial Mathematics

The Master's Degree (Master's Degree) in "Financial Mathematics" is aimed at the technical-mathematical training of specialists capable of analyzing financial situations and planning corrective methods capable of achieving the set goals. Successful completion of this degree program requires the attainment of 120 ECTS.

Content

Upon completion of the Master's Degree in Financial Mathematics, the student will have received enough technical and professional background to process any financial transaction with specialized competence.

 

Occupational Outlets.

The Master's Degree (Master's Degree) in Financial Mathematics offers various

possibilities for employment in the world of work. Below is a sample of some of the possible employment outlets:

- Specialist in Financial Mathematics

- Financial-statistics consultant

- Expert in financial data analysis

Modules

First Year

SECS-S/06 - Introduction to Financial Mathematics - 10 ECTS

SECS-S/06

MAT/08 - Introduction to Computational Finance - 10 ECTS

SECS-P/11 - Financial Engineering - 10 ECTS

SECS-S/02 - Monte Carlo Methods in Financial Mathematics - 6 ECTS

ING-INF/05 - Scientific Methods in Programming - 6 ECTS

SECS-P/01 - Behavioral Economics - 8 ECTS

SECS-P/08 - Principles of Management - 10 ECTS

 

Second Year

SECS-P/01 - Monetary Economics - 8 ECTS

MAT/05 - Distribution Theory - 6 ECTS

SECS-S/06 - Actuarial Valuation Tools - 6 ECTS

SECS-S/01 - Stochastic Processes - 8 ECTS

ING-INF/05 - Big Data Analytics - 10 ECTS

SECS-P/01 - Behavioral Finance - 8 ECTS

Final Examination - 14 ECTS

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Financial Mathematics | Campus HETG