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Department of Finance

Portfolio Management Program

The Portfolio Management Program (PMP) provides students a unique tool to apply state-of-the art concepts and recent developments from academic and applied research to real-money asset management. Offered in collaboration with P & K Pühringer Gemeinnützige Stiftung and ZZ Vermögensberatung (Schweiz) AG, PMP enables students to combine theory and practice by learning from renowned academics and practitioners together with managing a real portfolio and experiencing real-time market behavior.

Aufbau des Portfolio Management Programs

The two-year (four-semester) Portfolio Management Program (PMP) consists of Portfolio Management Theory (I and II), Asset Management: Advanced Investments and MATLAB for Portfolio Management in year 1. Portfolio Management Implementation (I and II) is completed in year 2. The Portfolio Management Program awards students a total of 21 ECTS credits.

In a nutshell

  • 21 ECTS Credits
  • 2-year program
  • in English
  • limited number of participants

All information on the PMP Program: Portfolio Management Program

Weiterführende Informationen

Spezielle Anmeldebedingungen

Für gewisse Module bestehen spezielle Anmeldebedingungen. Die komplette Liste findest du hier.