Master in Quantitative Finance
Rotterdam, The Netherlands
The Master in Quantitative Finance at Erasmus University Rotterdam is a program for international students taught in English.
The Master in Quantitative Finance at Erasmus University Rotterdam is a program for international students taught in English.
Introduction
Erasmus University Rotterdam is a research-led institution known for its global outlook and practical approach to education. Located in the dynamic port city of Rotterdam, the university blends rigorous academics with strong connections to industry and public sector partners. Prospective international students will find a diverse campus community and programmes that stress critical thinking, evidence-based decision making, and societal impact across business, social sciences, law, medicine, and the humanities.
Founded in 1913 and named for the humanist Erasmus, the university offers a broad portfolio of undergraduate and graduate programmes with an emphasis on cross-disciplinary learning. With approximately 22,000 students and a significant international cohort, Erasmus supports English-taught degrees, research-driven learning, and practical projects linked to the citys economic and cultural landscape. Students benefit from partnerships with businesses and NGOs, which enhance internships, applied research, and career pathways.
Student life in Rotterdam combines urban opportunities with close campus communities and student associations that facilitate integration and professional development. International applicants should explore programme requirements, English proficiency criteria, and scholarship options. Career services offer CV support, employer events, and guidance for internships and graduate roles, helping students translate academic experience into meaningful careers both in the Netherlands and internationally.
About the Program
The Master in Quantitative Finance at Erasmus University Rotterdam is a one-year program for students who want to apply econometric methods to financial decision-making. It's taught in English and offers an interactive learning environment. The program's main advantages include expert scholars and a focus on real-world applications.
The curriculum focuses on econometric and quantitative skills, with hands-on learning in portfolio and risk management. Students develop essential skills for tackling complex financial issues and apply theoretical knowledge to real-world scenarios.
Graduates can pursue careers as Financial Analysts, Risk Managers, Portfolio Managers, and Quantitative Analysts. They can work in banking, investment firms, and consulting companies, with skills that are transferable to various positions in the finance industry.
Disclaimer
Global Admissions is not affiliated with this university, college, or education institution. This listing is community and / or AI generated and is for general information only. It may not be accurate or current. For the latest accurate information please visit the official website or contact the university directly or book a call with us.
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Tuition
16,000 USD per year
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