The programme at a glance – 60 ECTS
The objective of the Track is to equip students with quantitative modelling skills and statistical tools to approach risk management decisions, as well as with a deep knowledge of the business processes and regulatory environment of the key financial organizations, namely banks, investment funds and insurance companies.
Theory Meets Practice
The teaching staff is composed of both professors at the University of Luxembourg and high-level professionals from the financial industry and from public financial institutions. Our staff coordinates to maintain a balance between theory and practice.
Thorsten LehnertFDEFStudy Programme Director
Deborah MartinFDEFStudy Programme Administrator