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Solvay Advanced Master in Quantitative FinanceSolvay Brussels School of Economics and Management
Solvay Advanced Master in Quantitative Finance
Through this advanced master degree from Solvay Brussels School of Economics & Management, students will gain a unique set of quantitative finance tools and skills required to become a successful financial professionals. The course will explore a variety of related areas, including mathematics, statistics, finance and programming.
Students will walk away from this program being able to:
- build asset management strategies
- construct robust asset portfolios
- evaluate portfolio risk quantitatively and qualitatively
- efficiently extract data from massive databases
- understand the valuation aspects of counterparty risk
- value and understand the trading of complex derivatives
This program is ideal for those with a quantitative background, either through recently obtained education or professional experience.
Eligible applicants must hold one of the following:
- Master or Master of Science Degree or equivalent (four or five years of study overall)
- Bachelor Degree with 180 ECTS credits or equivalent, preferably followed by 1-3 years of professional experience.
Admissions will be based on the candidates’ academic and/or professional background, and motivation. Proficiency in English necessary.
The Solvay Brussels School of Economics & Management is a leading European research and education facility within the field and aims to develop business leaders and entrepreneurs to help shape tomorrow's world. It is the only business school in Brussels...