In the aftermath of the recent financial crisis and against the background of the current low interest rate policy of the European Central Bank (ECB), most organizations in the financial industry are facing a lot of challenges : governance and behavioral aspects in relation to internal risk management, insurance companies face major challenges of investing the assets under management in the financial markets due to the current low interest rate policy of the ECB amongst others.
These organizations are actively seeking postgraduates who are disciplined in finance. Especially insurance companies, which are one of the hugest institutional investors in the world, are searching for postgraduates in asset and risk management. Therefore, the program is designed for students who want to work in both, the public and private financial / insurance sector, for example as risk and asset managers.
Year 1: PREPARATION YEAR
TOOLS AND METHODS
The final year Dissertation provides an opportunity for students to examine in depth a problem which will be of interest to them in their professional life.
- Year 1 : 3-year Bachelor’s Degree holders
- Year 2 : 4-year Bachelor’s Degree or 3-year Bachelor’s Degree + significant professional experience, or Master’s degree
- 5 semesters
LENGTH OF STUDIES:
- 2 years of studies
- The program is taught in Berlin.
- Courses are taught only in English
TUITION FEES 2019-2020 :
- Year 1: 8 700 €*
- Year 2: 8 800 €*
* Subject to vote at the ICN Board meeting of 4 July 2019
Mise à jour le 29/04/2019