A masters refers to the completion of a graduate study program that prepares students to further their knowledge of a specific subject or advance their careers. The majority of masters are granted by state or public universities.
A Master in Quantitative Finance will provide students with the ability to apply mathematical methods to solve the problems in financial economics. These mathematical methods range from probability theory to numerical analysis. Applications are possible in several sectors such as risk management and insurance, or others such as profit maximisation.
Among one of the very old cities of Italy, Bologna has always been a very distinguished place to visit and obtain education. Educational institutions, such as the University of Bolonga, boast of well-educated faculty and education in medieval art, music and culture.
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The Laurea Magistralis Course in Quantitative Finance (Q-Finance) provides a unique opportunity for a graduate study of frontier mathematical and statistical techniques applied to financial markets. [+]
The Laurea Magistralis Course in Quantitative Finance (Q-Finance) provides a unique opportunity for a graduate study of frontier mathematical and statistical techniques applied to financial markets.
The Graduates of the Laurea Magistralis in Q-Finance will be targeted to professional careers in research centers, positions as “quants” in the finance and insurance industry, or Academic careers in the field.5 reasons to enrol on the degree programme The Programme structure is tailored and updated on industry needs QF offers many opportunities to earn a Double Degree with prestigious partner Universities QF students are offered a wide range of international opportunities abroad, both for study and work The international class is challenging and enriching Professional courses are offered by distinguished international teachers or quants from the industry Admission requirements ... [-]