The Financial Risk and Data Analysis curriculum (entirely taught in English) of the Masters
programme in Finance and Insurance aims at providing students with a wide range of
advanced quantitative and programming tools together with technical instruments and a
sound knowledge of the complex regulatory system which governs the financial markets.
Students will acquire the knowledge and capabilities needed to analyse financial data and to
use them to measure and manage risk, to make forecasts, and to build models in order to
address most of the technical challenges faced by companies and institutions in the finance
and insurance industry, and also in other environments. Graduates will have the skills
required for a successful career in financial institutions or major corporations or to enter a
PhD programme in Finance