
Master of Mathematics - Quantitative Finance and Risk Management at University of Michigan
The Mathematics - Quantitative Finance and Risk Management is a Master degree offered by University of Michigan at its main campus in Ann Arbor, United States of America. The program is delivered on campus as a Full Time course in English and requires approximately 2 years to complete. Students study at the university's main campus while gaining the knowledge and practical experience expected for this area of study. The next intake is available from August 30, 2027.
About Master of Mathematics - Quantitative Finance and Risk Management
Disciplines
MathematicsFinanceActuarial Science
Requirements and Admission Criteria for Master of Mathematics - Quantitative Finance and Risk Management at University of Michigan
English Requirements
- IELTSMin 6.5
- TOEFLMin 84
Other Requirements
1Mandatory And Advisory PrerequisitesTranscripts And Wes EvaluationGmat Or Gre ScoresCurrent ResumeEssaysRecommendationsInterviewNonrefundable Application Fee
Tuition and Fee Information for Master of Mathematics - Quantitative Finance and Risk Management at University of Michigan
Master of Mathematics - Quantitative Finance and Risk Management at University of Michigan

University of Michigan
United States of America, Ann Arbor