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Finance, Insurance and Risk (programme option)

Banks, insurance companies and other industries daily face challenges that involve making decisions based on uncertain information. The financial consequences can be considerable if they fail to understand the risk involved. In this programme option, you specialise in the study of analysis and control of various forms of risk associated with the application of mathematics and information technology, and combined with economics and statistics.

The programme option is part of the programme

Modelling and Data Analysis (master's two years)

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