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Master

Financial Mathematics

Formative OfferMasterFinancial Mathematics

The Master's Degree in Financial Mathematics aims to provide advanced training in the area of stochastic processes applied to finance, seeking to fill the current gap in quantitative training in the area of financial markets.

Financial theory has become increasingly quantitative. At the same time, financial institutions (banks, insurance companies, investment funds, pension funds, brokers and other institutions) have shown a growing demand for human resources with a strong quantitative focus and solid training in finance, to perform functions in the areas of financial risk management, financial innovation and financial instrument valuation.

Useful Information

Start date

September

Location

ULisboa Campus

Duration

2 years (4 semesters)

Number of Credits

120 ECTS

Schedules

After work

Vacancies 2026/2027

Provisional: 25

How To Join

Application Deadlines

Candidates for the Master's Degree in Financial Mathematics should consult the specific conditions/instructions available on the degree webpage.

Access Regime

Bachelor's Degree in Mathematics, Physics or Engineering for those wishing to pursue a professional or research career in Quantitative Finance. Applications from graduates in Finance, Economics or Management will also be considered, provided that the candidate's curriculum vitae shows a strong aptitude for Mathematics.

Applications

All information about applying for this Master's degree can be found on the website of the Iscte – Instituto Universitário de Lisboa.

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