This program is designed for students who want more than theoretical knowledge. It equips you with the ability to analyze financial systems using data, build models, and produce research that addresses real-world economic and financial problems.
You will learn how to analyze financial markets, measure risk, build data-driven models, and evaluate economic decisions using scientific methods.
Through a combination of coursework, applied analysis, and a thesis. The program actively engages you in research rather than passive learning.
Graduates stand out as analysts and specialists in banking, financial institutions, consulting, and public sector organizations.
The program provides a strong foundation for PhD studies and an academic career in finance and economics.
Explore detailed curriculum, course content, and ECTS structure below.