A masters degree in quantitative finance concerns the application of mathematical methods to the solution of problems in financial economics. In general, these degrees aim to prepare students for roles as "quants" quantitative analysts , including analysis , structuring , trading , and investing ; in particular, these degrees emphasize derivatives and fixed income , and the hedging and management of the resultant market and credit risk. Formal masters-level training in quantitative finance has existed since The program is usually one to one and a half years in duration, and may include a thesis component. The curriculum builds quantitative skills, and simultaneously develops the underlying finance theory:.
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Some professors also have their own websites. It is possible for enrolled students to view a list of professors authorized to supervise. In some faculties, students are not admitted to a program of study in the absence of a willing supervisor. Before thinking about a supervisor, students should make sure they are committing to the area of study that most interests them. They should ask themselves whether they are enthusiastic enough about a topic area to sustain this enthusiasm over the period of time it will take to prepare the thesis. Speaking to students and professors who do research in the proposed area of study will help clarify the students thoughts.
The undergraduate curriculum allows students to acquire a deep conceptual understanding of fundamental physics through its core requirements. Students then choose one of two options to complete the degree, the Flexible track or the Focus track. Both options lead to the same degree, a Bachelor of Science in Physics.
This article was co-authored by Christopher Taylor, PhD. This article has been viewed , times. Students learning how to write a Master's Thesis will first learn that a central thesis question must be presented and subsequently answered.