Master of Quantitative Finance and Risk Management

Bocconi University - MAFINRISK Master of Quantitative Finance and Risk Management

MAFINRISK (Master of Quantitative Finance and Risk Management) is a full-time program taught in English for both economic and non-economic graduates who wish to develop specific technical abilities in the field of quantitative finance and risk management, covering an exhaustive spectrum of technical financial applications.

The master can be attended by:

- economics graduates who want to develop applied skills in the field of quantitative finance and risk management;

- graduates in non-economics quantitative subjects (mathematics, physics, statistics, engineering, etc..), lacking a specific training in economics and finance.

The master is focused on talented and high motivated individuals wishing to pursue a career in the field of applied finance.

The objective is to create fully independent specialists combining quantitative and operational skills together with institutional competencies. For this reason the technical skills developed in our program are complemented with courses dedicated to more general economic and institutional aspects of finance.

The master is the best opportunity for those planning to work in:

- capital markets, sales and trading;

- risk control and risk management;

- investment management and hedge funds;

- new product design and structuring;

- derivatives pricing, trading and risk management;

- financial modelling.

There will be an high skilled teaching composed by teachers and staff from Università Bocconi and visiting professors from other top international universities.

MAFINRISK Master of Quantitative Finance and Risk Management
Master programs MAFINRISK Master of Quantitative Finance and Risk Management
Bocconi University - Via Sarfatti 25 - 20136 Milano - Tel. 02 5836.1 - Link: Courses