Sign up to our newsletter today
We've been helping students find the right postgraduate course for over a decade.
The Master in Finance, Insurance and Risk Management aims at preparing students for high level careers in investment, private and commercial banking, securities design and trading, risk and asset management, risk management, asset allocation and actuarial sciences with the strong quantitative background in view of the challenges posed by solvency II.
Students are most welcome to join research departments of government agencies and central banks too, in insurance and consulting companies as well as in regulatory agencies. It is a truly international program entirely taught in English. Students receive a II level Master from the University of Torino as well as a Collegio diploma.
The placement record for previous graduates is excellent and includes a large variety of firms,
Read more about this course
Applicants for the Master's program in Finance, Insurance and Risk Management must have a four or five year degree in either Economics/Business or Maths, Engineering, Statistics, Physics (Italian students: laurea Vecchio Ordinamento or laurea specialistica/magistrale; foreign students: advanced undergraduate degree).
The information you submit to this university will only be used by them to deal with your enquiry. For more information on how we use your data, please read our privacy statement
Based on your current searches we recommend the following search filters.