Please note: Due to the retirement of the chairholder, the course offer will be limited starting from spring semester 2021.
The Chair of of Risk Theory, Portfolio Management and Insurance offers courses on Bachelor's level, Master's level and within the doctoral program. Find the dates of the lectures, exercices and tutorials as well as information about the course registration in the Portal2 (matriculated students only).
|CC 302 Finanzmathematik||6 ECTS||Course details||Fall semester|
|Bachelor Thesis||Course details||Spring semester|
|FIN 560 Risk Management of Insurance Companies||8 ECTS||Course details||Fall semester 2021|
|FIN 561 Investment Management of Insurance Companies||8 ECTS||Course details||Spring semester 2021|
|FIN 660 Quantitative Risk Management||4 ECTS||Course details||Fall and Spring semester|
|FIN 760 Seminar in Risk Management and Insurance||6 ECTS||Course details||Fall and Spring semester|
|FIN 761 Master's Colloquium in Insurance||Course details||Fall and Spring semester|
|Master's Thesis (MMM)||24 ECTS||Course details||Fall and Spring semester|