Master of Science in Mathematical Finance

The objective of this Master of Science program is to produce graduates with a rigorous foundation in the economic theory and mathematical modeling of financial markets. The program creates an integrated curriculum spanning four disciplines: economics, mathematics, econometrics/statistics and computational/numerical analysis. The program is designed for recent graduates in the fields of applied mathematics, physics and engineering – or for graduates in economics, business and finance with strong mathematical backgrounds – who wish to pursue high-tech finance careers in financial institutions, industry or government.