Программа обучения Quantitative Finance

Программа обучения "Quantitative Finance" в Kiel University

Quantitative Finance

Money, capital, loans, securities, foreign exchange - all of them are assets traded on financial markets. How supply and demand behave in these markets and what impact they have on the world's economies is what you will be studying in the one-subject master's program in Quantitative Finance at the Christian-Albrechts-University in Kiel (CAU).

Общая Информация по Программе обучения "Quantitative Finance"

  • Уровень: Магистратура
  • Диплом: Master of Science (M.Sc.)
  • Язык обучения: Английский
  • Начало обучения: Зимний семестр
    Летний семестр
  • Срок обучения: 4 семестров
  • Форма обучения: Полная
  • Учебные кредиты: 120 ECTS
  • Стоимость: € 0 / Семестр
  • Семестровый взнос: € 179 / семестр
  • Правила приема: Без конкурса
  • Минимальный уровень английского: C1
  • Минимальный средний балл (нем): 2.5

Описание программы обучения "Quantitative Finance"

In the in-depth economics training, you place particular emphasis on the area of ​​the financial markets. The aim of your university education is to prepare you for demanding jobs in the financial sector. You will be taught the economic theory of pricing on financial markets and the valuation of derivatives such as options and futures. Corporate finance or the economic treatment of risk and uncertainty are also on your curriculum.

In your professional practice you will need a deeper understanding of relevant methods from numerical mathematics, statistics and empirical economic research (econometrics). When studying quantitative finance, you will receive structured, quantitatively oriented training in both the methods and the associated economic theories. The economic sub-areas of economics and business administration, statistics and econometrics are linked with the mathematical sub-areas of stochastics, numerics and mathematical finance.

Your studies are also based on current research questions on national and international financial markets. These include the impact of complex networks, asset risk management or systemic risk in the banking sector. In the elective area, you have the option to either specialize in one area of ​​financial market research or to take additional offers from other economics courses at Kiel University.

The quantitative finance master's degree is largely international. You complete all economic courses in English. You can expand the international perspective of your economic studies by spending a semester abroad. With partner institutes in over 15 countries you have numerous exchange opportunities.

Международный обмен по программе обучения "Quantitative Finance"

As part of the ERASMUS program of the European Union, the CAU Kiel has partnerships with many European universities. There are also collaborations with partner universities in Asia and overseas. One or more semesters abroad are therefore possible.

There is also the possibility to do an internship abroad.

Учебный план программы обучения "Quantitative Finance"

In the one-subject Master's program in Quantitative Economics, module examinations must be completed in the following areas: Statistics and Econometrics for Finance, Financial Economics and Corporate Finance, Mathematical Finance, Seminar and in the Minor Subject area.

The courses are held in the form of lectures, exercises and seminars. The examinations for the modules usually consist of an exam. In exceptional cases, the exam will be replaced by an oral exam. In addition to homework and oral lectures, seminars can also include Korer lectures, minutes or papers.

In addition to technical content, the main seminars also impart and practice knowledge of the techniques of scientific work, lecture techniques and techniques for leading discussions.

The module examination determines whether the student has achieved the learning objectives of a module. The module exams take place during the course and can consist of one or more exams.

The master's examination is passed when all module examinations and the master's thesis required by the subject examination regulations have been passed and the required number of credit points has been acquired.

The standard period of study for the one-subject master's program in quantitative finance is 4 semesters.

  • Учебный план / модули: http://www.studservice.uni-kiel.de/sta/fachpruefungsordnung-quantitative-finance-master-1-fach.pdf#page=8
  • Факультет

    Faculty of Business, Economics and Social Sciences
    Kiel University

    The Faculty of Business, Economics and Social Sciences follows the traditional Kiel profile of strong theoretical research and emphasizes the quantitative-empirical search for knowledge. This ensures the high quality and timeliness of its teaching content and knowledge transfer.

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