| Country: | Austria | Duration: | 24 Months |
| City: | Vienna | Start Date: | September |
| Educational Form: |
| Languages: | English |
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| Application Deadline: | 15th June | ||
| Annual Tuition Fee: | € 726 | ||
Curriculum development has attempted to combine related courses into a semester module which constitutes a part-qualification for students. There are the following modules:
* Fundamentals in Quantitative Methods and Finance
* Financial Econometrics
* Derivative Pricing
* Risk Measurement
* Asset Management
* Research Methods
* Asset Liability Management and Risk Management for Banks
* Asset Liability Management and Risk Management for Insurances and Pension Funds
* Applied Asset Management
* Applied Research in Asset and Risk Management
Structure of the Master Programme
1st and 2nd SemesterAttendance of compulsory lectures and classes
3rd SemesterCompulsory exchange semester (blocked)
4th SemesterProject seminar, Thesis preparation
GraduationFinal examination and defence of the Master´s thesis
http://www.fh-vie.ac.at/article.aspx?ID=588&LN=DE
You are normally required to take an English Proficiency Test if you come from a non-English speaking country.
Most European Universities recognise the IELTS test.
More information* Written application (please complete the application form and attach relevant documents)
* Successful completion of a bachelor's or master's degree in social sciences, economic / business studies, in natural sciences, or in law at a university or a university of applied sciences (domestic or abroad)
* Proof of qualifications in:
Economics 9 ECTS Mathematics, statistics 6 ECTS * Very good English language skills