Master's Degree in Quantitative Finance in Amsterdam in Netherlands

Search Masters Programs in Quantitative Finance 2017/2018 in Amsterdam in Netherlands

Quantitative Finance

In order to successfully obtain a Masters qualification, you will need to obtain a number of credits by passing individual modules. Most taught Masters will have a number of core modules which you must take and pass in order to obtain the qualification. The assessment of research Masters is almost always entirely by a single dissertation module or project.

Quantitative finance programs are a good way to learn about how mathematical modeling can be used to predict and analyze the behavior of complex financial systems. Topics covered might include everything from probability and statistics to the design of predictive algorithms.

The Netherlands is a constituent country of the Kingdom of the Netherlands, consisting of twelve provinces in North-West Europe and three islands in the Caribbean. English speaking students will have no problems finding suitable courses. For international students applying to universities in the Netherlands, several scholarships are available.

The capital city of Netherlands, Amsterdam has well known universities such as the University of Amsterdam and Universiteitsbibliotheek Amsterdam. These educational institutions tend to provide diversified graduate and post graduate degree programs, and they have top notch Research and Development facilities.

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Master in Finance: Honours Programme Quantitative Finance

Vrije Universiteit Amsterdam
Campus Full time 1 year September 2018 Netherlands Amsterdam

The Quantitative Finance programme is an 84-credit Honours Track that is part of the Master’s programme in Finance. You will take three core courses in... [+]

Master in Finance: Honours Programme Quantitative Finance

 

The Quantitative Finance programme is an 84-credit Honours Track that is part of the Master’s programme in Finance. You will take three core courses in finance (Investments, Derivatives, and Quantitative Risk Management), and three advanced methodological core courses in econometrics and financial mathematics.You can select three electives from the Master’s programmes in Finance, Econometrics, Mathematics, Business Studies, Economics and others. This freedom of choice allows you to select your own specialization and create your own career profile. You will be able to emphasize fundamental, methodological subjects or focus on the application of advanced methodology.In the course of one year you will attend lectures, complete case study assignments, give presentations and conduct extensive research assignments. The programme is taught in English. Graduates receive the title of Master of Finance.... [-]