University of Amsterdam

Master in Actuarial Science and Mathematical Finance

Amsterdam, The Netherlands

The Master in Actuarial Science and Mathematical Finance at University of Amsterdam is a 2 year long program for international students taught in English.

Introduction

The University of Amsterdam (UvA), founded in 1632 and located in the heart of Amsterdam, is one of the Netherlands’ most prestigious research universities. As a large, internationally oriented institution, UvA offers a wide range of programs across faculties such as humanities, social and behavioural sciences, economics and business, science, law, medicine and dentistry. Its metropolitan setting and historic campus combine with modern facilities to support a vibrant academic community.

UvA enrolls tens of thousands of students and provides hundreds of master’s and bachelor’s options, including many English-taught programs and research opportunities across more than 20 priority areas. The university’s strengths include interdisciplinary research institutes, strong international collaborations and a focus on societal impact. Students can access specialized research centres, internships in Amsterdam’s dynamic job market, and study abroad options via established exchange networks.

International applicants benefit from extensive support services, clear admissions guidance and housing assistance through university and partner residences. Studying in Amsterdam offers cultural diversity, excellent public transport and a creative, innovative urban environment. Graduates from UvA move into careers in academia, public service, business and the arts, drawing on the university’s rigorous training, research reputation and global connections.

About the Program

The Master in Actuarial Science and Mathematical Finance at the University of Amsterdam is a 2-year program for students who want to learn about financial and mathematical analysis of complex risk management and insurance topics. This Master's degree is taught in English and helps students gain insight into the financial consequences of risks. The program is ideal for students with a Bachelor's degree who are interested in mathematics and finance.

The curriculum covers financial and mathematical analysis of complex risk management and insurance topics. Students develop skills in mathematical finance and learn to analyze complex risk management topics. The program includes hands-on components to help students apply theoretical knowledge to real-world problems.

Graduates of this program can pursue careers as Actuarial Analysts, Risk Managers, Financial Analysts, or Insurance Underwriters. They can work in insurance companies, banks, or other financial institutions. With a strong foundation in mathematics and finance, graduates can help companies make informed decisions about risk management and financial planning.

Similar Programs You Can Apply To

Direct application via Global Admissions is not available for this program. Browse similar partner programs below or visit the university's site to apply directly.

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