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Introduction

The recent turmoil in financial markets has revealed an urgent need for experts in financial risk management. Duisenberg school of finance is uniquely positioned to offer students a challenging curriculum, leading to a career in a field where top expertise is scarce.

The Duisenberg MSc programme in Risk Management combines the variety of theories and techniques that make up the risk management discipline: finance, mathematics, economics, and statistics. All of these require students to develop a thorough quantitative and analytical insight. The programme is taught in a hands-on philosophy, combining frontier academic methodology to real-life risk management problems.

Successful applicants to the programme typically have a quantitative background and hold a BSc (or other MSc) in (quantitative) Economics & Business, Econometrics, Mathematics, Physics or equivalent.