About the Program
The Master of Science in Quantitative Finance and Risk Management is designed to equip students with the knowledge and skills to succeed in today’s in-demand financial careers. You’ll develop global market knowledge, gain hands-on experience with financial time series and risk modeling, and prepare for the FRM Exam Parts I and II—and lay the foundation for a solid career that outperforms your expectations.
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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Associate Director of Graduate Enrollment Management
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