Compare Masters Programs in Quantitative Finance in Italy 2019
A Master degree in Quantitative Finance seeks to teach how to solve problems in financial economics by using mathematical methods. Areas and methods such as statistics, probability or numerical analysis are used in a variety of areas, examples of these are insurance and risk management or profit maximisation.
Top Master Programs in Quantitative Finance in Italy 2019
2 Results in Quantitative Finance, Italy Filter
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 course fits the current convergence of the activities of banks and business, financial companies, with the activities of insurance and reinsurance and social security systems. These organizations deal with issues related to each other, which are studied implementing tools, techniques, and models quite similar when not substantially identical.