Master’s in Quantitative Finance  |  Degree

The constant development of the regional capital market, its integration with other markets globally, the expansion of the financial derivatives market and the constant changes in financial regulation and tax and pension systems, oblige the financial industry to seek more professionals with quantitative and computational skills who can address the complex challenges of financial markets.The Master's Degree in Quantitative Finance is a pioneering and innovative postgraduate program at Universidad del Rosario, created and developed in collaboration with leaders of the financial industry and aimed at professionals who wish to acquire a highly technical and analytical understanding of quantitative finance problems.The program seeks to train professionals with an excellent command of practical computational methods and tools that allow them to perform professionally in areas such as risk management, portfolio management, valuation and structuring of financial products and analysis of data and financial information, both at financial institutions as well as in manufacturing sector firms.
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Basic core of knowledge

  • Economy

Degree

  • Master of Quantitative Finance

Level of Education

  • Master's degree

Modality

  • In-person attendance

Number of semesters

  • 3 Semiannual

knowledge area

  • Economy, administration, accounting and related

SNIES

  • 101875