Master of Science in Quantitative Finance and Risk Management
发展定量建模和风险管理原则方面的专业知识,以及推动当今金融服务行业的最佳行业实践 Master of Science in Quantitative Finance and Risk Management in Temple’s Fox School of Business. 这个30学分的硕士学位课程是大费城地区唯一的同类课程, 提供理想的方式来追求你的金融风险经理(FRM)的称号,并同时享有盛誉的硕士学位.
定量金融和风险管理硕士课程将为您提供追求按需定量金融和风险管理职业角色所需的知识和技能. Explore evolving financial technology trends, 发展全球市场洞察力和磨练相关技能,包括
- derivative valuation,
- enterprise risk management,
- machine learning in finance,
- numerical valuation methods,
- quantitative fixed income modeling and
- structured financial products.
Endowing students with broad financial knowledge, 定量金融和风险管理硕士通过跨学科研究提高了支持FRM指定的项目的基准
- computational programming,
- continuous time finance,
- data science for finance,
- econometric and time series analysis,
- financial risk management,
- global markets, and
- numerical methods.
Through one-on-one advising and career coaching, dedicated professional development seminars, 并通过学生专业发展中心获得资源, you’ll craft a unique professional future, tailored specifically to your long-term career goals.