Double MSc Quantitative Asset and Risk Management (ARIMA)


Area of Studies

business studies and management sciences



Degree (in English)

Master (Double)

  • English
Course Duration

2 years/ 4 semesters

ECTS points



University of Economics in Katowice. 1 Maja 50, 40-287 Katowice

Tuition and Other Fees

Information available at

Application Deadline(s)

31st July

Course Description

Course Profile

The main objective is to provide in-depth knowledge on mechanisms of functioning financial markets through combining elements of asset management with risk management. Distinctive feature of the programme is concentrating didactic process on learning the phenomena of penetrating the risk through each aspect of asset management. The programme aims at improving graduate’s chances on the labour market particularly through developing and improving linguistic skills, knowledge in the business ethics and practice in financial management. Close cooperation with the business representatives – who actively participate in the programme delivery – enables combining theory with practice. Additionally the students have the opportunity to broaden their perspectives by participating in mobility offered within the programme.
- Graduates receive the Master’s Diploma of the University of Economics in Katowice and – on completion of 30 ECTS in one of Partner Institution – Diploma of the Partner Institution (University of Applied Sciences BFI Vienna (Austria), University of Bologna (Italy), Alexandru Ioan Cuza University of Iaşi (Romania),
- CFA Accreditation
- PRM exams (I and II) exclusion
- Mobility options – short and long-term
- Strong relation between theory and practice
- Multicultural environment

Education Requirements

Bachelor‘s or Master’s degree, confirmed proficiency in English (B2)


University of Economics in Katowice
1 Maja 50, 40-287 Katowice, Poland