Master Degree in Financial and Insurance Mathematics 24 months Postgraduate Program By Ludwig-Maximilians-Universität München |Top Universities

Master Degree in Financial and Insurance Mathematics

Subject Ranking

# =115QS Subject Rankings

Program Duration

24 monthsProgram duration

Main Subject Area

MathematicsMain Subject Area

Program overview

Main Subject

Mathematics

Degree

Other

Study Level

Masters

Study Mode

On Campus

The program combines interdisciplinary scientific knowledge from mathematics - especially >>> financial and insurance mathematics as well as stochastics and numerics - with economics and statistics. The skills acquired during the course of study should enable students to work independently, to critically classify and apply scientific results in the professional world, especially in the finance and insurance industry or in research. The demand of the economy for highly qualified, interdisciplinarily trained specialists with core competences in the field of mathematics as well as profound knowledge in statistics and economics is large and constantly increasing. The focus is therefore on teaching basic structures and techniques that enable the analysis and solution of mathematical problems in the finance and insurance industry. Career prospects are excellent due to the key qualifications acquired, such as the ability to abstract and analyze, organize complex issues and highly developed computer skills.

Program overview

Main Subject

Mathematics

Degree

Other

Study Level

Masters

Study Mode

On Campus

The program combines interdisciplinary scientific knowledge from mathematics - especially >>> financial and insurance mathematics as well as stochastics and numerics - with economics and statistics. The skills acquired during the course of study should enable students to work independently, to critically classify and apply scientific results in the professional world, especially in the finance and insurance industry or in research. The demand of the economy for highly qualified, interdisciplinarily trained specialists with core competences in the field of mathematics as well as profound knowledge in statistics and economics is large and constantly increasing. The focus is therefore on teaching basic structures and techniques that enable the analysis and solution of mathematical problems in the finance and insurance industry. Career prospects are excellent due to the key qualifications acquired, such as the ability to abstract and analyze, organize complex issues and highly developed computer skills.

Admission Requirements

6.5+
The Master's program in Financial and Actuarial Mathematics usually lasts four semesters and concludes with the academic degree of Master of Sciences. The prerequisite for this program is a Bachelor's degree in Mathematics or in subjects in which a comparable level of mathematical knowledge (to the Bachelor's degree at the LMU) is achieved. (e.g. Bachelor Business Mathematics, Statistics or Bachelor Physics). There is no minimum English requirements listed for this program but an IELTS score of 6.5 and equivalent is recommended.

2 Years
Oct

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