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This dual degree program enhances your knowledge of international financial markets and investments while developing specialized expertise in financial modeling, predictive analysis, big data, and analytics – providing a competitive advantage for careers in investment banking, asset management, risk assessment, and quantitative trading research.
Throughout this two-year combined degree, you'll deepen your econometrics and quantitative analysis skills to address complex financial and economic problems. The curriculum strengthens your critical thinking, problem-solving abilities, and capacity to create innovative solutions for modern business challenges, particularly those impacting the financial sector.
The program deepens your comprehension of financial markets, valuation techniques, trading strategies, and risk mitigation, alongside ethical considerations, environmental factors, and corporate social responsibility. You'll also have opportunities to specialize in investment banking, portfolio management, fintech innovations, and sustainable finance.