Masteropleidingen

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Program

NameQuantitative Finance and Actuarial Science
SchoolEconomics and Management
LanguageEnglish
StartSeptember and February
DurationOne year
TitleMaster of Science (MSc)
KeywordsRisk management based upon explicitly quantitative models
Bachelor's degrees with direct accessEconometrics and Operations Research
Pre-Master's programYes, for university graduates
Core Courses Financial Models, Empirical Finance, Pension System Design, Asset Liability Management, Issues in Finance and Insurance and Dynamic Real Investment
SpecificsPossibility to obtain a Netspar certificate Pension, Aging and Retirement.
After Graduation
  • Large financial institutions
  • Banks and trading houses
  • Pension funds and insurance companies
  • Consultancy agencies
  • Central banks and other regulators
  • Corporate treasuries
  • PhD track