What You Will Learn
The Master of Finance is an intensive 12-month, full-time program delivered over 3 terms. Elective courses allow candidates to specialize in either risk management for financial intermediaries and trading concerns, or risk management and quantitative portfolio management within an investment management context.
The first term is dedicated to developing sound foundations in mathematical and computational methods, foundations of financial theory and an introduction to the management of the investment fund. The second and third terms introduce students to advanced theory of capital markets and derivative securities, fixed income analysis, financial econometrics, law and regulation of financial institutions, investment management, enterprise risk management and market and credit risk management.

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At-a-Glance
- Full-time
- 12 months
- Cost: $27,000*
*Subject to senate approval.



