Teaching-learning process
Learning connected to the financial industry
In the Master's Degree in Quantitative Finance, you will learn from the reality of the sector. The teaching staff is made up of active professionals from banks, asset management companies, consultancies and fintechs, who will introduce you to the current practices, tools and challenges of the financial industry.
Through his experience, you will learn first-hand how quantitative models are applied in the valuation of financial instruments, risk management, market forecasting and the development of investment algorithms.
During the master's programme, you will combine curricular subjects with masterclasses, workshops and specialised seminars on advanced topics such as financial machine learning, Big Data applied to markets, blockchain and asset tokenisation, and risk management with AI.
Solid technical knowledge
You will receive rigorous, quantitative technical training combining financial theory, advanced statistics, econometrics, programming and data analysis. This foundation will enable you to understand, develop and apply complex financial models, as well as interpret results accurately and with analytical judgement.
Real projects and challenges
You will collaborate with financial institutions, consulting firms and advanced analytics companies, working with real data and scenarios. Each challenge will allow you to experience the reality of your future profession, applying methodologies of analysis, simulation and risk management.
Professional support
Throughout the process, you will receive guidance from an academic tutor and support from experts at partner companies, who will guide you in developing projects and applying the most advanced quantitative tools.
Real results
Challenge-based learning and interaction with industry professionals will allow you to assimilate concepts in greater depth, gain practical experience before completing your master's degree, and prepare yourself to successfully integrate into the most advanced and highest-paid environment in the financial industry.

