View all Masters Programs in Financial Engineering in Europe 2019
A Master in Financial Engineering will give the students the knowledge to start a career in the finance industry. It will allow students to solve problems and challenges of the finance world today. Graduates are able to work in investment banks, commercial banks, and other parts of the industry around the world.
View all Master Programs in Financial Engineering in Europe 2019
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2-year master's programme prepares specialists for the financial sector, banking and insurance industries.
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 modeling, Stochastic finance in continuous time Investments, selected courses: Portfolio theory, Exotic options, Alternative Investments, Hedge funds
Expanding markets and the increasing complexity and variety of financial products have generated a growing demand for skilled professionals to create, price and hedge complex derivatives. The specialization in Financial Engineering provides you with advanced qualifications in operations research and finance, from the management of financial portfolios to risk analysis in financial markets. Financial Engineering is the place where finance meets operations research!
Graduates of the Financial Engineering master program are capable of taking over executive functions in financial management. They are qualified to consider challenges in the financial sector from an engineer’s point of view and to develop and optimize innovative solutions on the basis of fundamental economic laws.
Financial Engineering is a carefully designed Master's programme, belonging to the popular educational area of financial engineering. Focusing on both theoretical and quantitative computer-based methods of financial analysis, the programme provides an advanced basis in mathematics, oriented towards financial real-life problems.