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Specialised Joint Master programme
This Master’s degree programme offers a specialisation in
the economic bases of finance, and the uses in finance of probability
theory, stochastics and numerical methods.
The programme is offered in cooperation with the University of Zurich (all applications handled by the University of Zurich).
Credits ECTS: 90
Language of instruction: English
Structure:
All lectures involve the areas of either Economic Theory for Finance or Mathematical Methods for Finance. Cooperation with external companies is encouraged in the context of the Master’s thesis.
Entrance requirements:
Qualifying Bachelor’s degree programmes: A Bachelor’s degree which reflects good basic knowledge of finance and mathematics (e.g., Economics, Mathematics, Physics, or Engineering) or quivalent degree.
Further information:
Contact:
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