Finance Has Evolved. Have You?
The finance industry is different today than two decades ago. Reform, crashes and financial technology have dramatically reshaped the finance sector. In other words: Finance has evolved. Have you? That is the question we continuously ask ourselves at the Fox School.
More than ever, Finance is a competitive field to break into today. Having a master’s degree and progress towards professional certifications, like the prestigious FRM designation, can help candidates stand out in the job market. In today’s digital world, data science skills like Python, SQL and machine learning are also critical for many financial roles.
At the Fox School, the curriculum in our Master of Science in Quantitative Finance and Risk Management program is industry-matched in the way it accounts for these trends. Develop expertise in quantitative modeling, derivative pricing, financial engineering and enterprise risk management through hands-on project and data science for finance coursework—so you can chart a rewarding career in finance.
MS in Quantitative Finance and Risk Management at a Glance
Additional Program Information
Master of Science in Financial Analysis
Learn financial analysis industry best practices and the power of financial technology to explore global financial markets and quantitative trading.Master of Science in Financial Analysis
Master of Science in Financial Analysis & Quantitative Risk Management
Develop a depth and breadth of expertise in finance and enterprise risk management through both financial theory knowledge and financial technology tools.Master of Science in Financial Analysis & Quantitative Risk Management