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Career opportunities

With a masters degree in Finance, insurance and risk you are qualified to work in modelling and risk analysis. There is a large need for this knowledge and it is easy for mathematicians and statisticians to get relevant works both in the private and public sectors.

Examples include the financial branches with banks and regulators, insurance, technology industry, oil industry and energy, the environmental mapping, as well as the different forms of consultancy on the subject. This area of expertise is interesting both at national and international levels.

Stochastic analysis, modelling, and risk analysis are also a thriving research area; there are good opportunities to get in touch with research at different level.

Some may wish to continue with a degree in PhD, a basis to start a career in research.

Published May 23, 2017 1:02 PM - Last modified Aug. 28, 2023 2:15 PM