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The program welcomes students interested in mastering modern probability and statistics methodology and modelling methods in economic processes, as well as mathematics of insurance theory. Core courses will be instructed by the members of international Laboratory of Stochastic Analysis and its Applications. These faculty have a long, successful careers teaching and research in universities in France, Germany, UK and USA. Graduates of the program will possess competences that will enable them to excel in leading Western and Russian banks, insurance companies, financial organizations and academia.

The program invites students who desire to gain practitcal expertise in statistics and probability theory applications in economics, insurance, finance and social sector. The quantitative methods of solving economic problems that graduates of the program will master will assist them in their future careers as actuaries in banks and insurance companies, as well as researchers in academia.

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