Master of Science in Financial Analysis and Quantitative Risk Management
Build industry-matched knowledge and skills across the fields of financial analysis, 定量建模和风险管理 Master of Science in Financial Analysis and Quantitative Risk Management 来自威尼斯赌场网站 福克斯商学院. Combining the benefits of Temple’s financial analysis program and its quantitative finance and risk management program, the Master of Science in Financial Analysis and Quantitative Risk Management offers a unique curriculum that supports pursuing both the Chartered Financial Analyst (CFA) Exam Levels I through III and the Financial Risk Management (FRM) Exam Parts I and II during your graduate studies.
The 财务分析与定量风险管理硕士 leads to diverse career opportunities, 发展传统投资银行业务, 投资管理和金融风险管理专业知识. Learn to analyze evolving global business opportunities and specialized financial products, 并深入了解风险管理最佳实践, 包括
- 企业价值管理;
- 衍生品估值,
- 企业风险管理;
- 投资管理公司
- 杠杆收购(LBO)和并购(M)&A)交易分析;
- 金融领域的机器学习,
- 数值估值方法及
- 定量固定收益模型.
也许这是同类项目中唯一的一个, the Master of Science in Financial Analysis and Quantitative Risk Management accounts for both the CFA and FRM body of knowledge with interdisciplinary studies in
- 行为金融学,
- 计算机编程,
- 连续时间金融;
- 企业融资,
- 金融数据科学,
- 计量经济和时间序列分析;
- 财务风险管理;
- 全球市场,
- 投资管理;及
- 数值方法.
通过一对一的咨询和职业指导, dedicated professional development seminars and access to resources through the renowned Center for Student 专业 Development, 你将塑造一个独特的职业未来, 为你的长期职业目标量身定制.