M.S. in Quantitative Finance
During the last decade, interest in measuring, managing and controlling financial and operational risk has surged. At the same time, the field of finance has moved towards more sophisticated and highly quantitative methods to enhance our understanding ability to measure and control a myriad of risks in out highly volatile economic environment. Consequently, the demand for professionals with strong quantitative skills and knowledge of financial theory and markets has grown. A Master of Science in Quantitative Finance will provide students who have a sophisticated mathematical background the opportunity to apply their skills to analyze and develop quantitative solutions to contemporary financial problems.