Portfolio management provides insight into the methods and theory on asset allocation, both shortterm and longterm. Not only the theoretical side is covered, the application in practice is considered as well.
I thought it was very interesting to learn the various quantitative methods and the role of uncertainty in portfolio choice.
Joann de Zegher
The Master in QF endowed me with a rigorous understanding of the dynamics and mechanisms operating in the financial world. What is more, the Professors and my peers were among the most inspiring people I ever encountered.
The (team-) spirit, the skills and the kick-start into a successful career that this Master provides are unique.
Tim van Leeuwen
The Quantitative Finance programme offers challenging econometric courses in all the important topics used in the modern financial world. In addition, every student gets to apply theory in practice through a real case study for a financial institution.
Finishing this programme provides excellent career opportunities. Most QF students end up at investment banks, trading houses, insurers or large pension funds.