A Masters degree gives you the opportunity to either further your understanding of a particular question or take off in a completely different way using skills you have gained from your previous undergraduate degree.
A Master degree in Financial Engineering provides students the quantitative skills to seek solutions to today’s finance challenges and issues. It will allow graduates to work in risk management, investment banking, derivative pricing, equity and other areas of corporate finance.
Europe is the sixth largest continent and includes 47 countries and assorted dependencies, islands and territories. It is bordered by the Mediterranean Sea to the south, Asia to the east, and the Atlantic Ocean to the West.
View all Master Programs in Financial Engineering in Europe 2017/2018
The objective of the Specialised Programme in Quantitative Finance is to train top level specialists able to advance in today’s global financial sector characterised by constant change and continuous innovation. [+]
The MIMA Master's programme in Financial Engineering prepares you for a challenging and successful career in the international world of finance. You will learn to see finance from advanced quantitative perspectives, including the management of financial portfolios and risk analysis in financial markets. [+]
Master in Financial Engineering
The MIMA Master's programme in Financial Engineering prepares you for a challenging and successful career in the international world of finance. You will learn to see finance from advanced quanti-tative perspectives, including the management of financial portfolios and risk analysis in financial markets.
This programme has a unique character. It is carefully designed and belongs to the very popular educational area of financial engineering.
Focusing on quantitative computer-based methods of financial analysis, the programme provides an advanced basis in Mathematics and Economics.
The programme is oriented towards financial real-life problems, and the textbooks have been chosen to support this approach. Advanced financial software is systematically used in the teaching. The best students are also involved in research activities and the development of experimental financial software. The programme is a natural continuation of the Bachelor’s programme Analytical Finance.... [-]
Areas of study The program is based on four main areas; Risk management, selected courses: Financial risk management, Actuarial methods, Financial markets and instruments. Corporate finance, selected courses:Corporate finance, Advanced corporate finance,Long-term incentive schemes, Advanced financial analysis of enterprises Pricing of financial instruments, selected courses: Derivatives pricing, Interest rates modelling, Stochastic finance in continuous time Investments, selected courses:Portfolio theory, Exotic options, Alternative investments, Hedge funds [+]