A Masters degree gives you the opportunity to either further your understanding of a particular question or take off in a completely different way using skills you have gained from your previous undergraduate degree.
A Master degree in Quantitative Finance seeks to teach how to solve problems in financial economics by using mathematical methods. Areas and methods such as statistics, probability or numerical analysis are used in a variety of areas, examples of these are insurance and risk management or profit maximisation.
Spanning 23 countries, North America is continent filled with educational opportunity. Students have the opportunity to learn multiple languages and develop an understanding of vastly different cultures.
View all Master Programs in Quantitative Finance in North America 2017
Financial managers and related professionals are playing an increasingly important role in mergers, consolidations, global expansion, and financing, where their extensive specialized knowledge helps to reduce risks and maximize profit. [+]