MSc in Economics, Finance and Sustainability

Program Overview
Would you like to become an economist, work in institutions supporting market regulators, become a risk manager, or specialize in economic-financial consultancy?
The Quantitative Finance and Risk Management curriculum provides a thorough command of analytical and statistical tools as applied to markets, financial institutions, and complex financial instruments. You will learn the main areas of financial intermediary management, covering financial investments, the measurement and management of financial risk, and the organization of internal processes and administrative management for banks and financial institutions.
The Sustainable Finance curriculum trains you in sustainability-focused finance, specifically exploring the opportunities generated by climate change impact and the drive to meet global development goals. You will master the tools needed to measure, understand, and manage sustainability initiatives, analyzing the associated risks and opportunities for both individual institutions and the broader financial system.
This programme is ranked in the top 250 for Economics&Econometrics and top 300 for Accounting&Finance in the QS Subject Rankings.
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Program Highlights
What's Included
Quick Details
- Masters
- Business
- Economics
- Environmental Studies
- Finance
- Mathematics
- Statistics
- Sustainable Development
Updated Oct 2, 2025
Program Details
Learn all the nitty gritty details you need to know
Locations
- Venice, Italy
Fields & Subjects
- Economics
- Environmental Studies
- Finance
- Mathematics
- Statistics
- Sustainable Development
- Business
Available Terms / Availability
- Years Offered
- 2026
Eligible Nationalities
- All Nationalities
- This Program is also open to Solo, Group
Education Levels & Language
- Language
- English
- Education
- Bachelor’s degree
Accommodation Options
- Apartment/Flat
- Group living
- Independent living
- Other
Application Procedures
- Online Application
- Transcript
- Other
Age Requirement
21+
Starts At
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