Indicative program
Indicative program of the Mathematical Finance & Risk Analysis Specialization:
BEFORE THE START OF THE 1 ST SEMESTER (SEPTEMBER OR OCTOBER)  

MANDATORY PREPARATORY  COURSE NAME  COMMENTS 
(The grade in these courses is added to the grade of the corresponding courses of the 1st semester)  Introduction to Mathematics and Statistics^{1}  For Economic Department graduates (or similar departments) 
Introduction to Economics^{2}  For Natural Sciences Department graduates (or similar departments) 
1st Semester  2nd Semester  

COURSES  ECTS  COURSES  ECTS 
Economic – Financial Theory  6  Risk Analysis Ι  6 
Introduction to Mathematics of Finance  6  Mathematical Finance with Applications in MATLAB IΙ  6 
Distribution Theory and Estimation  6  Statistical Inference & Simple Linear Regression  6 
Mathematical Finance with Applications in MATLAB I  6  Computational Mathematics – Monte Carlo  6 
MATLAB laboratory  6  Excel laboratory  6 
Total  30  Total  30 
3rd Semester  4th Semester  

COURSES  ECTS  COURSES  ECTS 
Numerical Methods and Optimization in Finance  6  Data Bases – Intelligent Algorithms  6 
Multivariate Methods and Models  6  Elective courses (to choose 3):

6 
Risk Analysis ΙΙ  6  
Stochastic Mathematics Ι  6  
Python laboratory  6  R laboratory  6 
Total  30  Total  30 
[1] Corresponding courses: introduction to Mathematical Finance and Statistical inference & Simple Linear Regression
[2] Corresponding course: Economic – Financial Theory