• Polski
  • English

Description 

The aim of this study program is to prepare modern specialists who combine knowledge of finance, IT technologies, and data analysis.
Students will learn from scratch how to use programming tools such as Python, R, and SQL in data analysis, as well as explore the applications of artificial intelligence in risk assessment and investment portfolio management.
They will gain knowledge enabling effective responses to changes in the digital and automated economy and the ability to create professional reports and investment recommendations based on real data.
The program will help develop competencies at the intersection of finance and data science, as well as analytical and strategic thinking skills — valued in the work of analysts, managers, and investment advisors.
Graduates will be prepared to work confidently with AI tools, optimize investment strategies, and make decisions in a dynamic market environment. Thanks to the qualifications gained, they will become sought-after specialists both on the domestic and international markets.
Classes are held approximately every two weeks: on Fridays (online) from 4:00 PM to 9:00 PM, and on Saturdays and Sundays from 8:00 AM to (at the latest) 6:00 PM.

Employment Opportunities 

Graduates of this programme will be able to work in, among others:

  • financial institutions, such as brokerage houses, investment fund companies, insurance companies, and banks (e.g. as investment analysts, investment advisors, or risk analysts);

  • the data analysis sector (e.g. data analyst, business analyst);

  • public sector institutions (e.g. government administration bodies);

  • consulting firms;

  • specialist service providers, such as advisory companies or financial market regulatory institutions (e.g. the Polish Financial Supervision Authority – KNF).

Graduates of the second-cycle (Master’s) programme are prepared to work in roles requiring specialist qualifications (e.g. stockbroker, senior specialist, financial advisor, investment advisor, etc.).

Upon passing the appropriate national or international certification exams and completing the required professional experience, graduates of the Investments and Data Analysis programme may pursue licensed professional careers such as:

  • stockbroker,

  • investment advisor,

  • Chartered Financial Analyst (CFA),

  • Financial Risk Manager (FRM),

  • Professional Risk Manager (PRM),

  • insurance agent or broker.

Advantages of the Programme 

A key strength of the program is the synergy between economic knowledge and IT skills, enabling accurate interpretation of financial phenomena and flexibility in the job market. The curriculum is based on learning through practice — projects, case studies, and data analysis. Classes are taught by both academic lecturers and industry practitioners who share up-to-date knowledge and experience, combining theory with the realities of the financial and non-financial sectors.

Programme 

Study Programme: Investments and Data Analysis 2025/26

Employment Opportunities 

A graduate of this program will be able to work, among others, in:
• financial institutions such as brokerage houses, investment fund companies, insurance companies, banks (e.g., investment analyst, investment advisor, risk analyst);
• the data analysis sector (data analyst, business analyst);
• public sector institutions (e.g., government administration bodies);
• consulting firms;
• specialized service entities, such as advisory companies or financial regulatory institutions (e.g., the Polish Financial Supervision Authority – KNF).

A graduate of the second-cycle studies is prepared to perform work requiring specialized qualifications (e.g., stockbroker, senior specialist, financial advisor, investment advisor, etc.). After passing the appropriate national or international exams and completing relevant practical training, a graduate of the “Investments and Data Analysis” program will have the opportunity to perform licensed professions, such as:

  • stockbroker,

  • investment advisor;

  • Chartered Financial Analyst (CFA) – Certified Financial Analyst;

  • Financial Risk Manager (FRM) – certified specialist in financial risk management;

  • Professional Risk Manager (PRM);

  • insurance agent or broker.