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Why study Quantitative Risk Management at the UvA?

Specialise in your field of interest

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Choose from 2 specialisation tracks and challenging electives. With our electives, you can tailor the programme to your interests and ambitions.

Lecturers leading in their field

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You will be lectured by professors and professionals from the industry. You will learn about today's techniques and theories in the risk management field.

Excellent career perspectives

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The specialist modelling skills of the actuary and risk manager are demanded from a wide variety of organisations.

Top-ranked university

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The Amsterdam School of Economics is internationally ranked within the top-50 putting your Master’s degree on a worldwide map with interested employers. 

Is Quantitative Risk Management for you?

  1. You are interested in how financial institution deal with financial uncertainty, liabilities, IT security threats and data-related risks
  2. You want to help financial institutions deal with risks.
  3. You will gain insight in all up-to-date techniques and practices. The curriculum incorporates the latest big data developments, such as advanced quantitative risk modelling.
Hi, I'm Daria! I'm a Master's student in Actuarial Science and Mathematical Finance from Russia. Got questions about studying at the UvA? Get in touch! Chat with Daria
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Explore all Master's Actuarial Science and Mathematical Finance tracks

Quantitative Risk Management is one of the tracks you can opt for in our Master's in Actuarial Science and Mathematical Finance.

Facts & Figures
Degree programme
MSc Actuarial Science and Mathematical Finance
Mode
Full-time
Credits
60 ECTS, 12 months
Language of instruction
English
Starts in
September
RIO code
66411
Location
Roeterseiland campus