In this course, students will:
- Study financial analysis and equity valuation, investments, fixed income securities, portfolio management, asset pricing, risk management, and compliance
- Take courses in quantitative finance, financial analysis, firm valuation, portfolio theory, options, fixed income, and Python programming language
- Learn about the latest finance trends, including quantitative techniques for asset valuation, product development, and risk management
- Master valuation, portfolio management, and risk management techniques
- Learn to develop client solutions to investment and risk management issues
- Gain hands-on experience in our Finance Lab with the software, hardware, and applications used by financial managers
- Enhance your expertise through case studies, internships, problem-based learning experiences, and extensive interaction with practitioners
- Study a curriculum grounded in rigorous analytics and applied quantitative techniques
- Learn from award-winning faculty who are distinguished scholars and industry veterans
- Have the chance to take a free, three-week intensive finance and math boot camp as an incoming master’s student
- Be part of SHU’s Jack Welch College of Business & Technology, one of fewer than five percent of elite business schools worldwide accredited by AACSB International
- The program is designed to be completed in 1.5 years but it may completed in as little as 12 months
- Prepare for the rigorous Chartered Financial Analyst® examination and Financial Risk Management certification
- Graduate equipped to compete for jobs in the growing STEM field (the MS in finance & investment is a STEM-recognized program), where employment demand and salaries are high