Что я буду изучать?

This is a new program developing essential skills in the area of statistical and mathematical modelling with the objective of preparing professionals able to apply their skills in insurance, banking, and more generally companies embracing the fast-growing digital revolution.

Learning objectives

The learning objectives include the following competencies, knowledge and abilities:

  • strong knowledge of statistical methodology and its applications in the field of economics, economic-management, finance, demography, sociology, insurance and social security;
  • Deep knowledge of mathematical models, specifically probability models to apply to finance and actuarial phenomena as well as economic and corporate sciences;
  • Deep knowledge of quantitative models in the area of risk management;
  • Mastery of logic, conceptual and methodological tools for planning and executing research for the analysis and evaluation of complex systems linked to economies, production, markets, insurance problems and the environmental, with a specific reference to the occurrence of damaging events;
  • Corresponding ability to build models that explain and foresee phenomena being studied and establish their applicability and validity with data analysis, and therefore a highly qualifying operating ability in the field of quantitative analysis of economic, corporate, socio-demographic and financial problems related to social security and insurance.

Career Opportunities

Graduates will gain methodological knowledge and tools also at an interdisciplinary level that will enable them to fill jobs at high professional levels both in private companies and state or local public institutions; that is to say, in medium and large businesses, banks, insurance companies and welfare institutions. They will carry out analysis and management of human resources, production, and quality. They will analyze and evaluate markets and socio-economic and environmental scenarios and run a statistical analysis of complex phenomena. Specifically the curriculum in Actuarial Sciences for Insurance prepares for: Actuary and Risk Manager

На каком факультете я буду учиться?

Faculty of Banking, Finance and Insurance Sciences

Варианты обучения

Очная (2 лет)

Цена
€8,540.00 (712,855 руб) за 1 год
Начало обучения

Предполагаемое начало: Сентябрь 2022

Где

Universita Cattolica del Sacro Cuore

Largo A. Gemelli, 1,

MILAN,

Lombardy,

20123, Italy

Вступительные требования

Для студентов, проживающих в Соединенных Штатах

Applicants must have completion of an undergraduate degree, obtained after a minimum of 3 years of study (180 ECTS). Program specific entry requirements: Applicants may have various backgrounds with a preference for students from Business Administration, Economics or Engineering studies. English Language Requirements: TOEFL iBT overall score of at least 80,or an Academic IELTS overall score of at least 6.0, or Successfully completed a degree program taught in the English language.

Для иностранных студентов

Eligible candidates need to hold an undergraduate degree obtained after a minimum of 3 years of study (180 ECTS), which satisfies the requirements for access to second-level academic studies in the awarding country. If candidates have undertaken less than 15 years of total schooling, they may not be eligible for admission to a Laurea Magistrale.

The degree has to be issued by a higher education institution which is regularly accredited or recognized in the awarding country.

English Language Requirements:

  • Academic IELTS with a score of at least 6.0;
  • TOEFL iBT with a minimum score of 83;
  • First Certificate of English (FCE) with a minimum score of 173 (Grade B)
  • Certificate of Advanced English (CAE)
  • Business English Certificate (BEC) Vantage with a minimum of Grade B
  • Business English Certificate (BEC) Higher

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