The two-year Actuarial and Financial Mathematics Master's program is a research-based degree program that provides the advanced theoretical foundations and competencies necessary to fully understand large areas of the increasingly complex financial and insurance marketplace. In addition, it represents a connection between mathematics and the field of "Financial Economics" (economics).
Actuarial and Financial Mathematics focus very strong on financial and actuarial mathematics, statistics, and computational methods. Applications and related lectures in economics are also part of the studies. It is an academic and research oriented programme that conveys the advanced theoretical background and competence needed for a comprehensive understanding of the more and more complex financial and insurance markets. Also, it establishes a link between mathematics and financial economics.
The other three Master programmes include at least one mandatory minor which is offered in German language.
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Get a free consultation with our specialist and learn how to choose the right place and field of study, as well as how to successfully apply to a university in Germany!
Get a free consultation with our specialist and learn how to choose the right place and field of study, as well as how to successfully apply to a university in Germany!