About the Program
Gain expertise in derivative pricing and risk management with the Fox Master of Science in Quantitative Finance and Risk Management. This finance master’s program delivers a dynamic curriculum with project-based applications of data science, so you enhance your skills in quantitative analysis, financial modeling and risk across the financial services industry.
Featuring hands-on coursework with Matlab, Python, R, SQL and Tableau, this graduate finance master’s is ideal for finance professionals seeking to expand knowledge of quantitative modeling and risk management.
- 30 credits
- Limited scholarships available
- Full-time (10-month and 22-month) and part-time options
- Pursue FRM® Exam Parts I – II
- Earn a market-driven degree that has evolved along with the risk management industry
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