• The Master of Science in Quantitative Finance is intended to prepare pre-experience students with strong skills in mathematics, engineering, science, technology, finance and business for the rapidly evolving professional marketplace in the field of finance.
  • It achieves this by leveraging key technical interests and capabilities of successful applicants into the modern financial architecture and its central functions such as trading, market and product design, underwriting and securitization, payments and settlement, derivatives, asset management, risk management, corporate financial management and a range of technical innovations that are evolving in these areas.