Mathematics - Quantitative Finance and Risk Management

    Mathematics - Quantitative Finance and Risk Management

    Duration24 month(s)
    Tuition Fee
    USD 49,548 / Year
    Apply DateDecember 15, 2021
    Next IntakeAugust 30, 2022
    Mathematics - Quantitative Finance and Risk Management

    About

    Overview EducationThe Mathematics - Quantitative Finance and Risk Management Program at the University of Michigan is open to direct admission for those who have a bachelor’s degree. This a freestanding three-term MS program.The Accelerated Master’s Degree Program (AMDP) is for currently- enrolled University of Michigan undergraduates who wish to pursue a 5-year combined BS/MS (in Quantitative Finance and Risk Management). While it follows a similar curriculum as the Quantitative Finance and Risk Management Program, there are additional requirements. I want to find another Master Course
    The Department of Mathematics and the Department of Statistics jointly oversee a new interdisciplinary Master of Science degree program in Mathematics - Quantitative Finance and Risk Management at the University of Michigan.

    Disciplines

    MathematicsFinanceActuarial Science

    Requirements

    English Requirements

    • IELTSMin 6.5
    • TOEFLMin 84

    Other Requirements

    1Mandatory And Advisory PrerequisitesTranscripts And Wes EvaluationGmat Or Gre ScoresCurrent ResumeEssaysRecommendationsInterviewNonrefundable Application Fee

    Fee Information

    Mathematics - Quantitative Finance and Risk Management
    University of Michigan
    University of Michigan
    United States of America

    United States of America, Ann Arbor