Master of Science in Big Data Financial Analytics: Applied Modelling and Quantitative Methods M.Sc.
Program start date | Application deadline |
2024-09-01 | - |
2025-01-01 | - |
Program Overview
This 16-month professional program prepares students for careers in the financial sector. It focuses on financial analysis and covers mathematical finance, portfolio and risk management, and other relevant topics. Graduates are qualified for positions such as equity analysts, investment bankers, and portfolio managers.
Program Outline
Degree Overview:
Become career-ready for the financial sector. Focus on the theories and techniques of financial analysis as you prepare for a career in equity analysis, financial forecasting, investment banking, commercial banking, corporate planning, portfolio management, pension fund management and other opportunities in the financial sector. This professional program can be completed in 16 months, and involves the in-depth study of mathematical finance, portfolio and risk management, linear programming, financial econometrics, numerical methods and financial management.
Careers:
This professional program can be completed in 16 months, and involves the in-depth study of mathematical finance, portfolio and risk management, linear programming, financial econometrics, numerical methods and financial management.
Other:
Big Data Financial Analytics M.Sc. : Applied Modelling and Quantitative Methods website