Program Overview
The Finance at Collegio Carlo Alberto is a Master programme in Business & Management over 12 months, delivered On-campus. This programme equips graduates with advanced knowledge and practical skills for professional and academic careers in the field.
Students gain a rigorous grounding in both the theoretical foundations and applied dimensions of business & management. The programme combines coursework, research components, and practical projects that develop critical thinking, problem-solving, and specialist expertise relevant to industry and research needs.
Graduates of the Finance programme are well-prepared for careers in academia, industry, government, and the private sector across Italy and internationally. The programme provides an internationally recognised qualification within the Bologna higher education framework.
Key Program Features
- Duration: 12 months
- Language of instruction: English
- Study mode: On-campus
- Tuition: EUR 15,000 (Tuition (Full programme)) — International students; EUR 15,000 (Tuition (Full programme)) — EU/EEA students
- Location: Turin, Italy
Career Opportunities
Graduates of the Finance programme are prepared for diverse careers in business & management:
- Business Analyst
- Management Consultant
- Product Manager
- Strategy Analyst
- Operations Manager
- Entrepreneur
Program Curriculum
Course Structure
- Statistical and programming tools for finance
- Mathematics for finance
- Probabilistic and stochastic calculus
- Numerical methods
- Portfolio choice and asset pricing
- Econometrics
- Derivatives
- Fixed income
- Market risk
- Credit risk
- Econometrics for financial markets
- Quantitative asset allocation
- Advanced option pricing
- Credit derivatives pricing
- Corporate finance
- Risk management in insurance
- Treasury risk management
- Internal ratings based modelling and stress testing
- The economics of risk in insurance
- Life insurance
- Non-life insurance
- Solvency II
- Systemic risk management
- Portfolio analysis and benchmarking
- IT for financial institutions
- Banking law and regulation
- Private banking
- Hedge funds and alternative assets
- Equity derivatives
- Hedging strategies for segregated funds
- Insurance demand and supply
- Longevity risk: theory and markets
Admission Requirements
Academic Requirements
Applicants for the Master\'s program in Finance, Insurance and Risk Management must have a four or five year degree in either Economics/Business or Maths, Engineering, Statistics, Physics (Italian students: laurea Vecchio Ordinamento or laurea specialistica/magistrale; foreign students: advanced undergraduate degree).
Tuition & Financial Information
Tuition Fee
EUR 15,000 (Tuition (Full programme)) — International students; EUR 15,000 (Tuition (Full programme)) — EU/EEA students
Tuition fees: EUR 15,000 (Tuition (Full programme)) — International students; EUR 15,000 (Tuition (Full programme)) — EU/EEA students
Financial Aid & Scholarships
Contact Collegio Carlo Alberto directly for scholarship, grant, and financial aid information for this programme. Many European universities offer merit-based and need-based funding for international and domestic students.
About Collegio Carlo Alberto
Collegio Carlo Alberto
Moncalieri, Italy
Visit the university profile page to learn more about this institution.
University Profile- Application Deadline Jun, 2027
- Start Date Oct, 2026
- Language English
- Duration 12 months
