MSc - Quantitative Finance and Risk Analytics

Rensselaer Polytechnic Institute
United States
Qualification
Master's Degree
Study mode
Full-time
Duration
2 years
Intakes
August
Tuition fee (local)
Information not available
Tuition fee (foreign)
Information not available

Entry Requirements

English Language Requirement:

  • TOEFL: 570 (paper based); 88 (internet based).
  • IELTS: 7.0 minimum.
  • Other equivalent qualifications. 

Curriculum

Business Core Classes (Choose two)

  • Financial Markets and Institutions
  • Advanced Corporate Finance
  • Accounting for Reporting and Control
  • Financial Trading and Investing Investments
  • Financial Management II
  • International Finance
  • Financial Statement Analysis

Required QFRA Core:

  • Financial Management I
  • Financial Modeling
  • Financial Computation
  • Financial Simulation
  • Options, Futures, and Derivatives Markets
  • Financial Markets and Institutions
  • Advanced Corporate Finance
  • Accounting for Reporting and Control
  • Financial Trading and Investing
  • Investments
  • Financial Management II
  • International Finance
  • Financial Statement Analysis
  • Introduction to Econometrics
  • Numerical Computing
  • Into to Numerical Methods for Differential Equations
  • Financial Mathematics and Simulation
  • Mathematical Statistics
  • Computational Optimization
  • Risk Management
  • Financial Econometrics Modeling
  • Fixed Income Securities
  • Intro to Financial Mathematics and Engineering
  • Stochastic Processes and Modeling
  • Probability Theory and Applications
  • Nonlinear Programming
  • Applied Regression Analysis

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