University of Padova Master in Computational Finance
University of Padova

University of Padova

Master in Computational Finance

Padua, Italy

Master degree

2 years

English

Full time

02 Feb 2026*

Oct 2026

EUR 2,739 / per year

On-Campus

* Third call - EU students only

Key Summary

    About : The Master in Computational Finance program offers students a blend of finance and computational techniques. It emphasizes practical skills and analytical thinking, preparing graduates for a data-driven financial world. The program typically spans one year and includes exposure to the latest quantitative methods used in finance.
    Career Outcomes : Graduates can pursue careers in various sectors, such as investment banking, hedge funds, and financial technology (fintech). Potential roles include quantitative analyst, risk manager, and data scientist, leveraging their strong quantitative skills in financial applications.

Program structure

1st Year
Fundamentals of Computational Mathematics; Fundamentals of Information Systems; Principles of Financial Economics; Regression and Time Series Models; Stochastic Methods; Machine Learning for Finance; Econometrics for Credit and Market Risk; Financial Reporting and Risk Management.

2nd Year
Stochastic Finance; Risk and Insurance; Quantitative Risk Management; Law and Data; master thesis. The plan is complemented by two elective courses.