The Master of Science (M.S.) in Quantitative Finance will prepare you for employment opportunities in the financial sector that require superior quantitative skills. This includes risk management, quantitative investing, and model development. This program also will prepare you for Ph.D. studies in Finance.
In this program, you will enroll in courses to aid in developing these superior quantitative skills. You will develop quantitative skills with a set of carefully selected courses from Mathematics. You will then apply your quantitative skills in a specially designed set of courses in Finance.
The M.S. in Quantitative Finance program is a collaboration between Mathematics and Finance at Texas A&M University.
Master of Science in Quantitative Finance Program Requirements