Finance (Master of Science)
Welcome to the web pages of the Master in Finance! We offer a two-year program that blends finance and mathematics. It is quantitative yet practical.
Start: winter semester | duration: 4 semesters | degree: Master of Science | entry requirements: Bachelor's degree or equivalent qualification in mathematics or in another quantitative and mathematically-orientated discipline; good knowledge of English (TOEFL score of at least 570 (paper based), 88 (internet based), 230 (computer based) or equivalent qualification) |
admission details
Aims of the Program
The Master in Finance program provides a unique interdisciplinary education in mathematical finance to students from around the world. The program, which is taught in English, includes courses from mathematics, applied mathematics, finance and insurance. These areas are central to research and teaching of our faculty.
Professional Perspectives
Through the program, students will gain a sound understanding of cutting-edge techniques used by financial institutions, consultants, regulators and many other economic institutions. Topics of the program include valuation and hedging of derivatives, portfolio and risk management, regulatory aspects, and insurance. Graduates with a sound training in these areas are sought after on the job market.
Latest News: January 2013

The 2nd-year Master students went to Hirschegg, Austria together with members of the Institute of Finance for the Risk Management Roundup seminar. Read more
news.
Contact
Contact the MSc Finance team:
mscfinance(at)uni-ulm.de
Most inquiries are best answered by email.
If you want to contact us over the phone, please call +49 (0)731 5023598










