
Finance & Risk Management, B.A.
University: HDBW Munich
Visit website: https://www.hdbw-hochschule.de/
Course information
Application deadline
30/09/2025
Duration
7-9 Semester
Study form
Full-time studies; Extra-occupational studies; Practice-integrated studies
Fees
6480 € / Semester
Description
The modules Financial Instruments and Risk Management as well as Portfolio and Asset Management will deepen your analytical knowledge of capital markets, the valuation of derivatives and the measurement and control of risks. This knowledge is complemented by corporate financing and valuation in the context of corporate financial management.
Beyond the quantitative perspective, we also look at investor behaviour in the financial markets from the perspective of behavioral economics and modern capital market theory (behavioral finance).
The empirical analysis of financial market data teaches you how to implement the technical and conceptual basics of financial data analytics as well as the fundamental methods of data science in the field of finance and how to apply them in practice with real data.
Learn more about the university where you can complete this study program.
Requirements
General: No NC
Bachelor’s degree:
University of Applied Sciences entrance qualification or
Subject-related university entrance qualification or
General university entrance qualification
Even without the Abitur (Abitur) with appropriate vocational training