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
  • STEM-designated 
  • 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

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