In the aftermath of the recent financial crisis and against the backround of the current low interest rate policy of the European Central Bank (ECB), most organizations in the financial industry are facing a lot of challenges. First and foremost, governance and behavioral aspects in relation to international risk management have become a main challenge not addressed by earlier academic developments. Moreover, insurance companies face major challenges of investing the assets under management in the financial markets due to the current low interest rate policy of the ECB amongst others. These organizations are actively seeking for our postgraduates who are disciplined in finance.
Master of Science, MSc
Bachelor degree with 180 ECTS or equivalent