Master in Finance, Insurance and Risk Management 2024-2025
On-Campus
Master's programs
An upper level Master of the University of Torino, Italy
The Master in Finance, Insurance, and Risk Management prepares for a career in highly-skilled jobs in the financial industry. Graduates use their advanced quantitative finance and econometrics skills in asset management, banks, insurers, hedge funds, consulting firms and major corporations. Such skills also open up opportunities in institutions like central banks, regulators, sovereign wealth funds and sovereign organizations. The outstanding academic background provided by the program also allows graduate students fast-track access to PhD programs in finance.
STRENGTHS
- A selected Faculty from leading universities, alongside the experience of finance and banking professionals.
- Everyday contact with the scholars and researchers of Collegio Carlo Alberto and access to the scientific activities and events hosted at the Collegio.
- Merit-based tuition waivers offered by our sponsors.
- Career days and an outstanding network of our Alumni.
- A New FinTech Sequence, alongside the traditional Quantitative Finance backbone.
- The award of a second level Master in Finance, Insurance, and Risk Management degree from the University of Torino.
- A fast track access to the PhD Program in Finance.
Applications for 2024 are open.
Piazza Arbarello, 8
10122 Turin , Italy