This program is designed to equip graduates with the cutting-edge tools. The program provides strong quantitative and analytical skills applied to real-world financial problems and to thrive in today’s dynamic and ever-evolving financial landscape. The revised Master’s in Quantitative Finance program shifted its focus from the heavy math and statistics courses to a more practical business and finance orientation.
The demand for graduates with a Master of Quantitative Finance degree is driven by the increasing complexity of financial markets and the growing use of quantitative methods in finance. Graduates with Master of Quantitative Finance degree are highly sought after by financial institutions of all types, including banks, hedge funds, asset management firms, and insurance companies.
Data Scientist
Financial Engineers in model vetting and risk compliance
Analysts in quantitative, portfolio credit risk, market risk, investment banking and auditing
Big data and Machine Learning Specialist
Asset Managers and Portfolio Managers
A 30-credit hour program into three semesters (two full semesters & one summer).
Classes will be held daily from Sundays to Wednesdays, 5:00PM till 9:30PM.
All candidates for the Professional Masters must meet the following requirements for entry:
The Professional Master’s has different fee structures depending on your status. Please see the following document for more info:
Students must fulfill the requirements to be able to enroll in our MS Program.