Risk Management. Models and Data Science for Finance, Insurance and Business
Master Primo Livello
Durata: | annuale |
Crediti: | 70 |
Scadenza domanda di ammissione: | presentazione domande ammissione dal 05/04/2024 al 05/07/2024 |
Data Inizio: | 04/11/2024 |
Link sito web: | http://masterriskmanagement.ec.unipi.it/ |
Obiettivi del Master
The master in risk management is meant to provide students with cutting edge theoretical and practical skills to manage the main sources of risk characterizing financial markets, insurance institutions, pension funds or business.
Sbocchi professionali
The Master in Risk Management graduates are suitable to join international business or financial institutions, pension funds and insurance companies as risk managers, both as internal auditors or as technical analysts.
Costo
6990 euro cosi suddivisi: prima rata 2796 scadenza 15/07/2024 - seconda rata 2445 scadenza 15/11/2024 - terza rata 699 scadenza 15/12/2024 - quarta rata 1050 scadenza 15/01/2025
Posti disponibili
posti disponibili da 4 fino a 50
sono ammessi al massimo 10 uditori
Requisiti di ammissione