Quantitative Asset and Risk Management
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Quantitative Asset and Risk Management

FH des BFI Wien
Kurzbeschreibung & Facts

The programme, of particular interest for students with an inclination towards analytical thinking and mathematics, is an ideal opportunity for continuing your studies and enhancing your CV. Students in the programme gain extensive expertise in asset and risk management with a focus on quantitative methods. Theory of financial models is combined with their practical application in today’s financial industry.

Abschluss
Master of Arts
Regelstudienzeit
4 Semester
ECTS
120
Studienform
Berufsbegleitend
Sprachen
English
Standort
Campus Wohlmutstrasse
Studienbeginn
Wintersemester
Letzte Bewertungen
Quantitative Asset and Risk Management
3,3
5.3.2023
Studienstart 2022

Kein Bewertungstext

Quantitative Asset and Risk Management
5,0
25.11.2020
Studienstart 2020

Exceptional place to study

Empfehlungen
Studiengänge
Business Management