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M.S. Quantitative Finance & Risk Management

The Department of Mathematics and the Department of Statistics jointly oversee an interdisciplinary Master of Science degree program in Quantitative Finance and Risk Management.

The program focuses intensely on advanced mathematical and statistical methods. Graduates will have sophisticated quantitative skills that will prepare them to apply their knowledge to the solution of real world financial problems as quantitative analysts, financial engineers, risk managers, traders, developers, and other roles in the financial industry. 

Admissions for the Quantitative Finance & Risk Management Master's Degree programs differ from the other programs offered in the Mathematics department. Please visit the Quant admissions page for more information.