Sapienza University of Rome

Master in Finance and Insurance

Rome, Italy

The Master in Finance and Insurance at Sapienza University of Rome is a 2 year long program for international students taught in English.

Introduction

Sapienza University of Rome combines deep historical roots with large-scale modern education. Founded in 1303 and based in the heart of Rome, Sapienza is one of Europe’s largest universities, serving over 120,000 students and a diverse international community. Its long tradition of scholarship is matched by extensive research activity and strong global partnerships that span many disciplines and continents.

Academically, Sapienza is organized across numerous faculties and more than 60 departments, offering a wide portfolio of programs, including 58 formal program tracks. Students benefit from research-led teaching, access to specialist laboratories, and collaborations with cultural and scientific institutions in Rome. The university is particularly noted for strengths in humanities, engineering, medicine, and the sciences, where interdisciplinary initiatives address contemporary challenges.

Life at Sapienza means studying in a city rich with history, art, and professional opportunities. International students find dedicated services, language courses, and networks that ease transition and support employability. Whether you seek a rigorous research environment, vibrant campus life, or the chance to explore Europe from a historic capital, Sapienza offers a comprehensive academic experience with pathways to internships, mobility programs, and long-term academic growth.

About the Program

The Master in Finance and Insurance at Sapienza University of Rome is a 2-year program for students who want to work in finance and insurance. It offers a Master's degree and is taught in English.

The curriculum covers financial risk and data analysis, including quantitative and programming tools. Students learn to analyze financial data, measure and manage risk, make forecasts, and build models to address technical challenges in finance and insurance.

Graduates can pursue careers as financial risk managers, data analysts, portfolio managers, investment bankers, or financial regulators, working in financial institutions, major corporations, or government agencies.

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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