The Master of Science in Computational Finance Program is an intensive program geared towards educating students, investment professionals, and financial advisers to integrate mathematical and statistical models and techniques with financial theory and computer technology.
The program aims to prepare students, investment analysts, portfolio managers, and financial advisers:
To have the necessary foundations in mathematics, statistics, finance, and computer science disciplines, and to apply these disciplines to the latest computer technology; and
To meet the challenges and opportunities presented by the financial markets.