Develop the advanced analytical skills and industry-relevant expertise needed to tackle complex financial challenges and drive innovation in a rapidly evolving global economy.
Delve into topics like financial contract pricing, portfolio management, capital adequacy, firm valuation, and optimal capital and contract management.
This one-year full-time program offers a curriculum tailored to your career goals, with electives such as Machine Learning, Portfolio Management and Applied Econometrics for Finance, alongside core courses in financial mathematics.
Boost your career prospects with roles in investment banks, corporate risk units, insurance firms, fund managers, regulatory bodies and trading companies.
Completing this program can also pave the way to UQ’s Master of Financial Mathematics.
