MA Mathematics with a Specialization in the Mathematics of Finance

2 Years On Campus Masters Program

Columbia University

Program Overview

The MA program in Mathematics of Finance is designed for students who want to work in areas of quantitative finance such as quantitative portfolio management, quantitative trading, risk management, derivatives modeling, structuring and trading, and other related quantitative fields.

Program Key Stats

$45378 (Per Semester)
$ 120
Aug Intake : 1st May


7 %
No
No
Yes
Yes

Eligibility Criteria

3.0
4 Year

100
160
163
732
7.5
100

Additional Information & Requirements

Career Options

  • Mathematician
  • Statistician
  • Financial Analyst
  • Researcher

Book Free Session with Our Admission Experts

Admission Experts