Provides graduate study of frontier mathematical/statistical techniques applied to financial markets, combining probability, economics, statistics and finance, leading toward Pricer, Asset Manager, Risk Manager or Insurance-specialist career tracks, with internships and market simulations.
Bachelor's in Statistics or Economics, or β₯24 ECTS in maths/probability/statistics/economics (β₯6 probability/statistics, β₯10 maths); B2 English
IELTS Overall
5.5
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