Master’s programme Quantitative Asset and Risk Management (E)

Content and focus of the degree programme:

In the Quantitative Asset and Risk Management master’s programme students will gain knowledge and practical skills through intensive, practice-based training in the fields of financial risk management and asset management. Comprehensive insights of industry experts focussing on banking and insurance will further enhance the learning. This unique combination opens up exciting prospects for a highly successful career in the finance sector.

Higher education institution:
Fachhochschule des BFI Wien GmbH
Group of fields of study:
Social and Economic Sciences
Degree programme:
Quantitative Asset and Risk Management (E)
Type:
Master’s programme
Academic degree:
Master of Arts in Business, MA
Duration:
4 Semester / 120 ECTS

Further information:

Languages of instruction:
Englisch
Costs:
Student Union fee: EUR 25,20
Tuition fee: EUR 363,36/Semester (Detailed information)
Stay abroad:
Compulsory
Type of higher education institution:
University of Applied Sciences
Location:
Wien
Curriculum:
published in the:
Extra-occupational:
Yes

Definition of the field of studies

Exams

Entrance examinations

Admisson procedure

Supplementary examinations