About the Program
The Master of Science in Financial Analysis and Quantitative Risk Management offers a depth and breadth of financial knowledge unparalleled by any other program. Through a curriculum that balances the CFA Exam Body of Knowledge with the material covered on the FRM Exam, you’ll develop both broad financial knowledge and specialized risk management expertise, and you’ll prepare to pursue both professional designations in less than two years.
Goal #1: Understand and apply quantitative financial techniques and methodologies to evaluate and solve current and ongoing business problems.
Goal #2: Understand and apply core financial concepts and tools to strategically evaluate and solve current and emerging business problems.
Goal #3a: Effectively communicate knowledge and understanding of financial concepts and analysis in written form.
Goal #3b: Effectively communicate knowledge and understanding of financial concepts and analysis in the delivery of an oral presentation.
Goal #4: Develop proficiency in effectively utilizing available financial industry technology.
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