BSc in Quantitative Finance (QFIN) program

The BSc in Quantitative Finance (QFIN) program is designed to prepare students for careers in financial analysis, portfolio management, structured finance, securitization, financial modeling, and financial engineering. The program focuses on problem solving in the quantitative areas of finance. Students follow an integrated curriculum which they acquire the mathematical and statistical tools, the computational and programming experience, and the financial knowledge necessary for a career as a quantitative analyst in today's finance industry. 

Areas of expertise covered in the program include investment strategies, portfolio management, derivatives pricing, and risk management. Armed with cutting-edge knowledge in financial tools and quantitative methods, QFIN graduates are sought after by employers from the finance industry and across different sectors in business that put a premium on quantitative financial skills.