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Quantitative Asset Management

  • Focuses on designing and evaluating financial products that help organizations manage risk-return trade-offs.
  • Work on portfolio management, risk management, asset pricing and hedging, providing the necessary quantitative background to leaders and innovators in this growing field.
  • Highly requested at major investment banks, hedge funds, and successful quantitative asset management firms.
  • Includes courses in probability, optimization, stochastic calculus, dynamic programming, machine learning, and several disciplines in financial economics.

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