Master in Econometrics and Management Science
Master specialisation Quantitative Finance
Be a number-cruncher par excellence, and crack the toughest problems. Use the latest techniques and sheer computing power to solve complex practical problems in finance, the public sector or academia.
The Master specialisation in Quantitative Finance is suited to talented and motivated students with an interest in studying finance from an econometric point of view. Given the quantitative nature of this Master programme, students are expected to have a strong interest in, and prior knowledge of statistics, mathematics, and econometrics.
The specialisation in Quantitative Finance aims to provide high-quality training to enable graduates to pursue careers in the financial industry, or to excel in science. Graduates should be able to apply existing quantitative techniques and econometric models to complex real-world financial problems. Furthermore, graduates must be able to develop and apply new models for new problems.