M.sc. in Econometrics & Financial Technology

 M.Sc. in Econometrics & Financial Technology is a 2-year postgraduate program that combines advanced statistical methods with modern financial technology to analyze economic data and financial markets. The course focuses on econometric modeling, data analysis, financial market theory, algorithmic trading, and the use of technology in financial decision-making. Students learn to apply machine learning, big data analytics, and computational techniques to solve complex financial problems. Key subjects include risk management, financial modeling, blockchain technology, and quantitative finance. The program equips students with the skills necessary for careers in financial analytics, fintech startups, investment banks, and financial research institutions. Graduates are prepared for roles involving data-driven financial analysis, software development, or economic forecasting in the rapidly evolving financial technology sector.