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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.
Contact the school via the information request form to learn about tuition fees, early bird discounts and scholarship opportunities.
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...