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

Content and focus of the degree programme:

Quantitative Asset and Risk Management is a career-parallel, English-language degree programme. It qualifies students for a successful career in banking and finance for both the domestic and international labour market. The main fields of study are asset management, risk management and asset liability management for banks, insurance companies, other financial service providers and regulatory institutions. The programme is aimed at students with a high affinity to (financial) mathematics and statistics. Students have multiple opportunities to gain international experience at one of the university of applied sciences BFI's partner universities and also to gain a double degree.

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:
English
Costs:
Student Union fee: EUR 24,70
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

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Exams

Entrance examinations

Online entrance test

Supplementary examinations