In addition to at least 21 credit units of course work, seminar, and research methods and ethic units, the MSc degree candidate must prepare and successfully defend a MSc thesis. Expected duration to complete the MSc with Thesis Program is 4 semesters; the maximum duration is 6 semesters. However, students should complete course work including non-credit courses in 4 semesters. Advisor appointment has to be made at the beginning of 2nd semester. Recommended curriculum and recommended elective courses in parantheses are as follows:
| Semester I | Semester II | 
| 
IAM582 Life Insurance Mathematics
Elective Course 1 (IAM521 Financial Management)                                                         Elective Course 2 (IAM541 Probability Theory)        | 
IAM500 and IAM800 MSc Thesis (Advisor Appointment)IAM546 Actuarial Risk TheoryIAM583 Pension Fund MathematicsElective Course 3 (IAM522 Stochastic Calculus for Finance / IAM548 Stochastic Processes for Insurance and Finance) | 
| Semester III | Semester IV | 
| 
IAM500 and IAM800 MSc ThesisElective Course 4IAM590 Graduate Seminar (0-Credit) | 
IAM500 and IAM800 MSc ThesisIAM698 Research Methods and Ethics | 
For students who require mathematical statistics background, one semester of scientific preparation is must before the main curriculum. The courses you must take are as follows:
| Scientific Preparation | 
| 
IAM530 Elements of Statistics and Probability
The other courses this semester must be taken as NI. | 
- NI: Not Included (During scientific preparation program, student should take program courses in NI status).
- To pass scientific preparation programme successfully, the rules and regulations can be found from link.                 
| Current Elective Courses | 
| 
IAM521 Financial ManagementIAM524 Financial EconomicsIAM520 Financial DerivativesIAM541 Probability TheoryIAM584 Advanced Actuarial MathematicsIAM543 Regulation and Supervision of Financial RisksIAM544 Financial Risk AssessmentIAM552 Credibility TheoryIAM554 Interest Rate ModelsIAM555 Statistical Decision TheoryIAM557 Statistical Learning and SimulationIAM558 Reinsurance TheoryIAM550 Portfolio OptimizationIAM614 Methods of Computational FinanceIAM615 Advanced Stochastic Calculus for FinanceIAM782 Extreme Values in Insurance and FinanceIAM783 Life Insurance: Products, Finance and ModelingIAM784 Pension Systems and Their Financial ManagementIAM785 Survival Models in Actuarial Science
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