The Master’s in Actuarial and Financial Sciences at Sapienza University of Rome develops advanced skills in actuarial methods, mathematical finance, and quantitative risk management. It is designed for students aiming for careers in insurance, pensions, banking, and financial risk roles.
The Master’s in Actuarial and Financial Sciences at Sapienza University of Rome equips students with advanced expertise in actuarial techniques, mathematical finance, and quantitative risk management. This program is tailored for those aspiring to build careers in sectors such as insurance, pensions, banking, and financial risk management.
The curriculum focuses on providing an in-depth understanding of quantitative methodologies and interdisciplinary approaches. Key areas of study include:
Specific requirements regarding GRE, GMAT, or GPA scores for this program have not been disclosed. Prospective students should verify any additional prerequisites with the university.
Graduates of the Master’s in Actuarial and Financial Sciences can pursue diverse career paths in various industries, including positions in insurance companies, pension funds, banks, and financial institutions. The skills acquired through this program prepare students to tackle complex financial challenges and contribute effectively to risk management strategies.
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