Compare Masters Programs in Quantitative Finance in Australia 2019
Master-level studies involve specialized study in a field of research or an area of professional practice. Earning a master’s degree demonstrates a higher level of mastery of the subject. Earning a master’s degree can take anywhere from a year to three or four years. Before you can graduate, you usually must write and defend a thesis, a long paper that is the culmination of your specialized research.
Quantitative finance is the study of how mathematical principles can be applied to financial systems, such as businesses and markets. It might encompass statistics, probability, data analysis, algorithm design, derivatives, exponential calculations, or economic and financial principles.
Top Master Programs in Quantitative Finance in Australia 2019
1 Results in Quantitative Finance, Australia Filter
The Master of Quantitative Finance provides the full gamut of specialised quantitative finance skills and development of professional competency required to be a quantitative finance specialist performing at the cutting edge of the discipline. Participants have the opportunity to see the application of quantitative finance to advanced financial instruments, an integrated approach to risk management and how to implement quantitative finance strategies.