Master of Quantitative Finance
From Wikipedia, the free encyclopedia
Master of Quantitative Finance is a master's degree in quantitative finance for finance professionals. This program prepares graduates for investment management, quantitative analysis, financial risk management.
Generally the MQF curriculum includes stochastic calculus,numerical analysis, mathematical statistics,econometrics, financial modelling,portfolio management,option pricing,risk analysis,asset pricing and financial markets.
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Education
- Master of Quantitative and Computational Finance at Georgia Institute of Technology, GA, USA
- Master of Advanced Studies in Finance at Swiss Federal Institute of Technology Zurich (ETH), Switzerland
- Masters in Quantitative Finance - University of Technology, Sydney, Australia
- Masters in Quantitative Methods - Columbia University, New York, NY, USA