Archives: Study Programmes
-
Study Programmes
Admissions
Learn moreTo apply for a programme at the University of Luxembourg, candidates must comply with the general eligibility criteria for the chosen programme type and be selected by the study programme based on the quality of their application.
-
Study Programmes
Career
Learn moreLuxembourg offers a dynamic and international job market, especially nowadays that every company faces the challenges of ESG compliance. An expertise in Sustainable Finance guarantees internship roles in consulting for the private industry as well as national and international institutions.
-
Study Programmes
Programme
Learn moreThe Sustainable Finance track consists of five core courses (see below), electives and either an Internship and Applied Master Thesis or an Academic Master Thesis. All courses are supported by real case studies developed by sustainable finance practitioners. This strategy ensures that students gain practical knowledge that can be applied to the financial industry.
-
Study Programmes
Master in Finance and Economics – Sustainable Finance (2nd year)
Learn moreThe Sustainable Finance track gives you the opportunity to network with professionals who have been pioneers in the sustainable finance industry and to obtain academic insights.
-
-
Study Programmes
Admissions
Learn moreTo apply for a programme at the University of Luxembourg, candidates must comply with the general eligibility criteria for the chosen programme type and be selected by the study programme based on the quality of their application.
-
Study Programmes
Career
Learn moreThe Risk Management Track targets students who seek to gain expertise in the risk management divisions of financial and non-financial organizations. Three modules dedicated to risk management in banks, investment funds and insurance companies bridge the gap between theory and practice and provides students with a modern set of skills that apply to different industries…
-
Study Programmes
Programme
Learn moreThe modules cover fundamental subjects of risk management and the application of quantitative risk management tools. Three modules dedicated to risk management in banks, investment funds and insurance companies bridge the gap between theory and practice and provides students with a modern set of skills that apply to different industries and regulatory environments.
-
Study Programmes
Master in Finance and Economics – Risk Management (2nd year)
Learn moreThe Risk Management Track targets students who seek to gain expertise in the risk management divisions of financial and non-financial organizations, with a focus on banks, investment funds and insurances.
-