该专业是通过课程学习,学生能掌握专业的金融概论,统计学等专业的知识,能对风险管理和贸易决策的原理有着很好的了解。毕业后能从事金融产品开发定价,投资策略制定及风险管理。
全日制,学制1.5年,工程学,数学,物理学等相关专业背景可报名,雅思6.5
基础数学课程
1 Quantitative Modeling of Derivatives Securities
2 Quantitative Methods for Fixed-income Instruments
3 Mathematical Models of Investment
4 Advanced Credit Risk Models
5 Software Development with C++ for Quantitative Finance
6 Computational Methods for Pricing Structural Products
7 Special Topics in Financial Mathematics
8 Advanced Numerical Methods I
9 Mathematics Models of Financial Derivatives
10 Interest Rate Models
统计学课程
1 Stochastic Calculus
2 Advanced Probability and Statistics
3 Advanced Data Analysis with Statistical Programming
4 Quantitative Analysis of Financial Time Series
5 Quantitative and Statistical Risk Analysis
6 Advanced Probability Theory I
7 Advanced Mathematical Statistics I