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Vilnius University Master in Financial and Actuarial Mathematics
Vilnius University

Master in Financial and Actuarial Mathematics

Vilnius, Lithuania

3 Semesters

English

Full time

01 Jul 2025*

01 Sep 2025

EUR 5,266 / per year **

On-Campus

* 1 may for applicants from non-EU/EFTA countries | 1 july for citizens of EU/EFTA

** application fee EUR 100

Introduction

The study program provides a high-profile education in financial and actuarial mathematics, with an emphasis on the theoretical foundations of various methods and techniques in probability theory, stochastic analyses, risk theory, and related fields. Graduates of the programme are qualified to analyse and solve problems in theoretical models of finance and insurance, with the implementation of their obtained solutions in practice.

Why choose this programme?

  • The programme provides the solid high-level theoretical foundation needed to understand and apply state-of-the-art research results in practice. Students learn about the possibilities and restrictions of popular financial and actuarial models, tools and ideas.
  • The Financial and Actuarial Mathematics Master’s programme supports students in developing the competencies needed for the international labour market; in particular, the brightest students are strongly encouraged to pursue an academic career.

Program Outcome

Career Opportunities

Curriculum

Program Tuition Fee

Program Admission Requirements

Show your commitment and readiness for Grad school by taking the GRE - the most broadly accepted exam for graduate programs internationally.

About the School

Questions