Compare 2 Master of Art Degrees in Quantitative Finance
A Master of Arts is a postgraduate degree typically conferred upon completion of a prescribed sequence of coursework and exams, a research project, or both. This degree usually involves some study of the humanities.
In today’s globalized financial field, there is a need for individuals who possess both finance expertise and complex mathematical skills. What is an MA in Quantitative Finance? It is a graduate degree sought by those who have a strong math background and wish to apply their knowledge in the financial world. Students who apply to this program are typically expected to have demonstrated expertise in higher level mathematics and economics. Students in this program can expect to take classes in probability and risk management, hypothesis testing, and portfolio and insurance management.
A master’s degree in quantitative finance can prepare students for a variety of jobs in the financial industry that they would not otherwise be able to access. This degree has the advantage of being a relatively new area of specialty, which means that graduates are typically in high demand.
While the MA in Quantitative Finance can position graduates for higher salaries, the cost of obtaining the degree depends on the program and school. Some schools offer financial aid or tuition reduction options, which students should research when selecting a program.
Students who obtain a master’s degree in this area may qualify for jobs in which they develop and apply models for helping businesses assess and manage the risk of random events. They will also be well prepared for jobs in funds management, trading and investment, and research. Those who wish to focus exclusively on research in this area may wish to pursue a doctoral or research degree in quantitative finance.
If you are a math whiz and have an interest in the financial industry, this degree may be a good fit for you. To get started, search for your program below and contact directly the admission office of the school of your choice by filling in the lead form.
This internationally-focussed master's degree programme is run in English. Graduates qualify with a Double Degree from the University of Applied Sciences BFI Vienna and o
This internationally-focussed master's degree programme is run in English. Graduates qualify with a Double Degree from the University of Applied Sciences BFI Vienna and one of its partner universities: University of Bologna (Italy), University of Economics (Katowice, Poland) and Alexandru Ioan Cuza University (Iași, Romania).
Graduates are able
Graduates typically provide expertise to organisations requiring the following professional functions:
describe and analyse the connections between asset and risk management in finance
quantify and assess risk types in risk management, and infer measures for integrated steering of banks and insurance companies
analyse various asset classes and their products
carry out portfolio selections, and calculate key performance and risk measures
apply financial mathematics and statistics to developing financial models
Professional roles and functions
Private banking and family office
Compliance and regulatory reporting
The programme in brief
Academic degree: Master of Arts in Business, MA
Admission procedure: a written application, MC test, structured interview. For preparation, we recommend our scripts. There are no external courses required.
Admission requirements: completion of a social studies/business/natural science/ law/ technical degree (in Austria or equivalent degree abroad) with, documented qualifications in economic sciences (9 ECTS), mathematics and statistics (6 ECTS)
Course information (ECTS): 120 ECTS
Deadline for applications: 15 May, Online Application
Deadline for applicants outside European Union: 15 March (due to Visa restrictions)
Duration of studies: 4 semesters
Stay abroad: obligatory in the second academic year, in blocked form (e.g. two weeks) at one of the partner universities
University of Warsaw, Faculty of Economic Sciences
17th best program in Financial Markets worldwide according to Eduniversal Ranking 2018.
17th best programme in the world according to Top 100 Global Eduniversal Ranking in the Financial Markets in 2018.
The Quantitative Finance Program at the Faculty of Economic Sciences, University of Warsaw is a four-semester program on a full-time basis that provides students with outstanding knowledge of modern quantitative finance. The program leads to 'magister' degree and is compatible with the Bologna system, equivalent to Maters of Arts.
The distinctive feature of this program is that it combines the overall fundamentals of economic theory with specialized knowledge in finance. The basic aim of this specialization is to provide students with theoretical knowledge from the field of quantitative finance combined with its practical applications in financial institutions, taking into account the latest trends in financial world....