A Masters degree is an academic degree awarded to individuals who successfully denote a higher level of expertise. There are two main types of Masters - taught and research.
A Master in Quantitative Finance will provide students with the ability to apply mathematical methods to solve the problems in financial economics. These mathematical methods range from probability theory to numerical analysis. Applications are possible in several sectors such as risk management and insurance, or others such as profit maximisation.
From indigenous civilizations to modern day empires, North America has plenty of hands-on educational opportunities to offer scholars. Filled with a range of distinct cultures, students can educate themselves in well-rounded way.
View all Master Programs in Quantitative Finance in North America 2017/2018
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. [+]