This program is targeted at mathematical scientists and other students with outstanding
quantitative skills and provides them with a
solid background in finance while further developing the specific analytic
skills required for
quantitative analysis and risk management.
This new environment requires personnel with advanced training in a new combination of knowledge and
skills: a
solid understanding of the behavior of the driving forces of financial markets; the
quantitative skills to develop pricing models, risk management techniques, and utilize emerging technologies; and the personal
skills to work and communicate effectively within their corporate structure and with clients.