This programme is designed to equip students with in-depth understanding of economic behaviour and extensive knowledge of the financial sector, drawing upon the many insights of modern theories in economics and finance. Graduates from this programme will ultimately acquire relevant insight and capabilities that enable them to hold positions of great responsibility in the economic and financial system, financial institutions, international organisations, supervisory authorities and central banks. Through this programme, students will develop methodological approaches and knowledge required to analyse and evaluate the complexities of financial markets. Students will discover more about capital markets and investment decision-making, option pricing as well as national economies on a macro-economic level.