Quantitative Finance
"Transform your future in the most promising and fastest-growing sector of finance"
By studying the Master's Degree in Quantitative Finance, you will train for one of the most sought-after and highest-paid roles in the financial industry.
You will learn to apply advanced techniques in data analysis, financial modelling, risk management and machine learning to decision-making in real markets.
You can combine the master's degree with work and complete it in one, one and a half or two years with a timetable adapted to the financial industry.
The teaching staff is made up of professionals from the financial sector and experts in analytics and quantitative management, who combine practical experience with academic rigour.
You will be able to do internships at leading companies, banks, consulting firms and investment firms, boosting your professional development and employability.
Informative sessions
We open the doors of the university and we hope to tell you, in detail, the degree and its career opportunities.
Spotlight on
Teaching staff made up of professionals from the financial sector and experts in quantitative analysis
Quant. A promising profile in finance
We adapt to your needs; study while you work
Flexibility. Complete the master's degree in one year, one and a half years or two years
We guarantee specialised internships.

ACTIVE METHODOLOGIES Specialised Practical Training

INERNSHIPS Start your company internship on the First Day

FOCUS ON INTEGRATION Why should you choose this Master´s Programme?
Career Opportunities
Students who complete this master's degree will acquire skills that will enable them to work in financial institutions, specialist consultancies, fund management companies, insurance companies, regulatory bodies and any organisation where quantitative analysis and financial modelling are key to decision-making. They will be able to perform functions related to the valuation of financial instruments, risk management and measurement, portfolio optimisation and the design of quantitative strategies, as well as the application of advanced data analysis techniques in financial markets.
Specifically, graduates of the master's programme will be qualified to pursue careers in the following professional fields (among others):
- Quantitative analyst (Quant) in banks, asset management companies or insurance companies.
- Financial risk manager or financial modelling.
- Developer of algorithmic or quantitative trading strategies.
- Quantitative portfolio manager, focused on optimisation and asset allocation.
- Specialist in derivatives valuation and financial product pricing.
- Credit analyst in banking or rating agencies.
- Financial data analyst.
- Researcher or lecturer in the academic field of quantitative finance.
