The Master of Quantitative Finance (MQF) program focuses on the fundamental disciplines of mathematics, statistics, econometrics, computer science and finance. It provides the analytical tools to solve practical problems in the complex and rapidly evolving world of today's financial industry. Graduates from the Master of Quantitative Finance are equipped for positions with financial institutions, corporations and government regulatory organizations.
Number | Duration |
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2 | year |
Careers include: financial engineers in model vetting and risk compliance analysts in portfolio credit risk, market risk, investment banking and audit asset mix and portfolio managers a range of positions requiring advanced skills in quantitative finance