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Master's Program in Quantitative Finance & Risk Management

The Department of Mathematics and the Department of Statistics jointly oversee a new interdisciplinary Master of Science degree program in Quantitative Finance and Risk Management. The 36-credit (MS) program has two paths for students interested in advanced study in quantitative finance: a 3-term program for bachelor's degree holders and an Accelerated Master's Degree Program (AMDP) for current University of Michigan undergraduates majoring in Mathematics.

For more information please visit the Master's Program in Quantitative Finance and Risk Management website.