Master in Quantitative Asset and Risk Management | Master's degree | Business | On Campus | 2 years | University of Economics in Katowice | Poland
The main objective is to provide in-depth knowledge on mechanisms of functioning financial markets through combining elements of asset management with risk management. Distinctive feature of the program is concentrating didacting process on learning the phenomena of penetrating the risk through each aspect of asset management. The program aims at improving graduate’s chances on the labour market particularly through developing and improving linguistic skills, knowledge in the business ethics and practice in financial management. Close cooperation with the business representatives – who actively participate in the program delivery – enables combining theory with practice. Additionally the students have the opportunity to broaden their perspectives by participating in mobility offered within the program.
Program Outline
Admission Requirement
Funding Options
Jobs related to this program:
Share This Now
Compare
Save
Subscribe for updates!
Submit
Please select the country where you want to study:
Suggestions:
CanadaUSAUnited KingdomOther
Proceed
AgreeDisagree
AgreeNot SureDisagree
Based on your answers, you may be interested in a career within
Continue To Programs
This feature is only available for registered users.
Log in to Ultimate College List to save schools & programs, compare schools, compare programs and do much more!
Don’t have an account? Easily create an account for FREE.