The Master in Finance and Insurance  provides students with in-depth knowledge for the design and management of complex financial and insurance products, for understanding the organization of financial markets, for the definition and management of social security systems and to measure risks relating to individual financial and insurance products.  
The curriculum offers advanced courses in mathematical finance, financial econometrics, mathematics for life and nolife insurance, economics of financial markets, financial and insurance law. At the end of the course, graduates in Finance and Insurance have the skills to work within financial institutions and private insurance, authorities that control the market institutions, public pension, or as a consultant for the evaluation and management of complex products and of the risks attached to them. The course also allows achieving the qualification, subject to competition, of actuary.



Aggiornamento calendario prove finali A.A. 2020_2021
Sessione straordinario di laurea 11 giugno 2021

 Map department Scarica la Mappa dipartimento