纽约市立大学巴鲁克学院 金融工程硕士
1自然语言处理Natural Language Processing
2高级数据分析Advanced Data Analysis
3金融区块链技术Blockchain Technologies in Finance
4系统交易Systematic Trading
5外汇市场建模与做市商Modeling and Market Making in Foreign Exchange
6交易原理Fundamentals of Trading
7资产分配与投资组合管理Asset Allocation and Portfolio Management
8新兴市场与通胀模型Emerging Markets and Inflation Modeling
9利率模型Interest Rate Models
10数据科学1:金融大数据Data Science I: Big Data in Finance
11数据科学1:金融大数据Data Science I: Big Data in Finance
12信贷风险模型Credit Risk Models
13波动性筛选与评估Volatility Filtering and Estimation
14金融计量经济学导论Introduction to Financial Econometrics
15主要市场结构化安全评估Structured Security Valuation in the Primary Market
加州大学伯克利分校 金融工程硕士
1投资与衍生品Investments and Derivatives
2金融实证方法Empirical Methods in Finance
3随机分析(资产定价)Stochastic Calculus with Asset Pricing Applications
4衍生品:量化方法Derivatives: Quantitative Methods
5固定收益市场Fixed Income Markets
6金融数据科学Financial Data Science
7金融风险评估与管理Financial Risk Measurement and Management
8资产担保证券市场Asset Backed Security Markets
9全球市场中的金融创新Financial Innovation in a Global Marketplace
10国际股权与货币市场International Equity & Currency Markets
11大数据平台、工具与金融应用Big Data Platforms, Tools, and Financial Applications
12动态化资产管理Dynamic Asset Management
13行为金融学Behavioral Finance
14高频金融学High-Frequency Finance
15金融机构研讨会1Financial Institutions Seminar I
哥伦比亚大学 金融工程理学硕士
1金融与经济方向Finance & Economics Concentration
2衍生品方向Derivatives Concentration
3资产管理方向Asset Management Concentration
4计算与编程方向Computation and Programming Concentration
5计算金融学与贸易体系方向Computational Finance/Trading Systems Concentration
哥伦比亚大学 金融数学硕士
1金融数学导论Introduction to the Mathematics of Finance
2统计推断/时间序列建模Statistical Inference / Time-Series Modeling
3随机过程与应用Stochastic Processes – Applications
4金融随机方法Stochastic Methods in Finance
5金融计算方法Numerical Methods in Finance
6金荣数学从业者研讨会Practitioners’ Seminar
7多元资产组合管理Multi-Asset Portfolio Management
8编程(量化分析师)
9金融统计方法Non-Linear Option Pricing
10金融价格分析数学方法Statistical Methods in Finance
11股权衍生品Math Methods – Financial Price Analysis
12金融大数据Equity Derivatives
13资本市场与投资Big Data in Finance
14金融风险管理与监管Capital Markets and Investments
卡耐基梅隆大学 计算金融硕士
1金融数据科学Financial Data Science
2固定收益Fixed Income
3多阶段资产定价Multi-Period Asset Pricing
4商务沟通Business Communication
5期权定价模拟方法Simulation Methods for Option Pricing
6金融计算Financial Computing
7金融随机分析Stochastic Calculus for Finance
8数据机器学习Statistical Machine Learning
9风险管理Risk Management
10金融时间序列分析Financial Time Series Analysis
11金融优化Financial Optimization
12市场微观结构与算法交易Market Microstructure & Algorithmic Trading
13宏观经济学(计算金融领域)Macroeconomics for Computational Finance
14数值计算方法Numerical Methods
15资产管理Asset Management
斯坦福大学 计算和数学工程理学硕士
1数值线性代数Numerical Linear Algebra
2离散数学与算法Discrete Mathematics and Algorithms
3应用数学(偏微分方程)Partial Differential Equations of Applied Mathematics
4优化Optimization
5凸优化1Convex Optimization I
6随机方法(工程学)Stochastic Methods in Engineering
7随机微分方程导论Introduction to Stochastic Differential Equations
8软件开发Software Development for Scientists and Engineers
9分布式算法与优化Distributed Algorithms and Optimization
10数值分析并行方法Parallel Methods in Numerical Analysis
11金融数学Mathematical Finance
12债务市场Debt Markets
13金融市场1Financial Markets I
14定量交易:算法、数据与优化Quantitative Trading: Algorithms, Data, and Optimization
15不确定性优化与金融应用Optimization of Uncertainty and Applications in Finance
普林斯顿大学 运筹与金融工程硕士
1统计原理Fundamentals of Statistics
2优化论Optimization
3概率论与随机系统Probability and Stochastic Systems
4金融随机优化与机器学习Stochastic Optimization and Machine Learning in Finance
5金融数学导论Introduction to Financial Mathematics
6大数据分析Analysis of Big Data
7商业分析决策模型Decision Modeling in Business Analytics
8资产定价:随机分析与高级衍生品Asset Pricing : Stochastic Calculus and Advanced Derivatives
9高维统计High Dimensional Statistics
10回归与应用时间序列Regression and Applied Time Series
11C++计算金融Computational Finance in C++
12投资科学专题:交易与风险管理Special Topics in Investment Science: Trading and Risk Management
13金融数学偏微分方法PDE Methods for Financial Mathematics
14定量投资分析Quantitative Investment Management
15金融风险管理Financial Risk Management
普林斯顿大学 金融硕士
1资产定价1:定价模型与衍生品Asset Pricing I: Pricing Models and Derivatives
2金融数据统计分析Statistical Analysis of Financial Data
3企业财务与财务会计Corporate Finance and Financial Accounting
4资产定价2:随机分析与高级衍生品Asset Pricing II, Stochastic Calculus and Advanced Derivatives
5金融计量经济学Financial Econometrics
6风险资本与私人股本投资Venture Capital and Private Equity Investment
7企业财务、管理与银行专题Topics in Corporate Finance, Corporate Governance and Banking
8风险评估与管理Risk Assessment and Management
9机器学习原理Fundamentals of Machine Learning
10数据库系统Database Systems
11微分方程的分析技巧Analytical Techniques in Differential Equations
12金融建模Financial Modelling
13金融工程Financial Engineering
14金融风险管理Financial Risk Management
15金融数学偏微分方法PDE Methods for Financial Mathematics
纽约大学 金融工程硕士
1财务会计Financial Accounting
2金融的经济基础Economic Foundations in Finance
3金融定量方法Quantitative Methods in Finance
4公司金融Corporate Finance
5金融风险管理与资产定价Financial Risk Management and Asset Pricing
6金融市场与企业财务方向Financial Markets and Corporate Finance Track
7计算金融方向Computational Finance Track
8技术与算法金融方向Technology and Algorithmic Finance Track
9金融风险方向(信贷风险、金融管理与保险)Risk Finance Track (Credit Risk, Financial Management, and Insurance)
纽约大学 金融数学理学硕士
1衍生证券Derivative Securities
2风险与投资组合管理(计量经济学)Risk and Portfolio Mgmt with Econometrics
3随机计算Stochastic Calculus
4金融计算Computing in Finance
5固定收益衍生品:模型与战略实践Fixed Income Derivatives: Models & Strategies in Practice
6信贷分析:债券、贷款与衍生品Credit Analytics: Bonds, Loans, and Derivatives
7科学计算Scientific Computing
8连续时间金融Continuous Time Finance
9时间序列分析与统计套利Time Series Analysis and Statistical Arbitrage
10金融建模案例研究Case Studies in Financial Modeling
11金融计算方法Computational Methods for Finance
12监管与监管风险模型Regulation and Regulatory Risk Models
13高级计量经济学建模与大数据Advanced Econometric Modeling and Big Data
14计量金融的数据科学Data Science in Quantitative Finance
15证券化产品与结构融资Securitized Products & Structured Finance
康奈尔大学 金融工程
1综合财务报表分析Comprehensive Financial Statement Analysis
2投资学与投资组合分析Investments and Portfolio Analysis
3新兴市场金融Emerging Markets Finance
4国际金融International Finance
5固定收益证券与利率期权Fixed-Income Securities and Interest-Rate Options
6行为金融学Behavioral Finance
7资本投资项目评估Evaluating Capital Investment Projects
8高级投资战略Advanced Investment Strategies
9估价原理Valuation Principles
10衍生品证券Derivatives Securities
11定量交易战略Quantitative Trading Strategies
12债券数学与按揭证券Bond Math and Mortgage-Backed Securities
13金融工程专题Special Topics in FE
约翰霍普金斯大学 金融数学硕士
1投资科学Investment Science
2金融衍生品导论Introduction to Financial Derivatives
3利率与信贷衍生品Interest Rate and Credit Derivatives
4金融工程与结构化产品Financial Engineering and Structured Products
5风险管理/金融市场管理Risk Measurement/Management in Financial Markets
6随机过程与金融应用Stochastic Processes and Applications to Finance
7蒙特卡罗方法Monte Carlo Methods
8应用统计学与数据分析Applied Statistics and Data Analysis
9时间序列分析Time Series Analysis
10金融优化Optimization in Finance
11C++金融计算Financial Computing in C++
12定量投资组合理论与绩效分析Quantitative Portfolio Theory & Performance Analysis
13高级股票衍生品Advanced Equity Derivatives
14高级金融理论Advanced Financial Theory
15金融优化Optimization in Finance
芝加哥大学 金融数学理学硕士
1金融与市场导论Introduction to Finance and Markets
2投资组合理论与风险管理1Portfolio Theory and Risk Management I
3Python语言金融计算Computing for Finance in Python
4期权定价数学基础Mathematical Foundations of Option Pricing
5风险管理概率论Probability for Risk Management
6金融数学实习Financial Mathematics Practicum
7C++金融计算Computing for Finance in C++
8投资组合理论与风险管理2Portfolio Theory and Risk Management II
9数值方法Numerical Methods
10随机计算Stochastic Calculus
11金融机器学习1Machine Learning in Finance 1
12项目实验室Project Lab
13金融数学实习Financial Mathematics Practicum
14回归分析与定量交易战略Regression Analysis and Quantitative Trading Strategies
15固定收益衍生品Fixed Income Derivatives
佐治亚理工学院 计量与计算金融硕士
1金融与投资Finance and Investments
2金融随机过程1Stochastic Processes in Finance I
3计算金融的设计与实施体系Design and Implementation of Systems in Computational Finance
4衍生品证券Derivative Securities
5固定收益证券Fixed Income Securities
6金融数值方法Numerical Methods in Finance
7金融机构管理Management of Financial Institutions
8金融优化Financial Optimization
9金融数据分析Financial Data Analysis
莱斯大学 统计硕士-金融与风险统计方向
1概率论Probability
2统计推断Statistical Inference
3统计计算与图形Statistical Computing and Graphics
4回归与统计计算导论Introduction to Regression and Statistical Computing
5高级统计方法Advanced Statistical Methods
6计算金融学1-市场模型Computational Finance I - Market Models
7应用时间序列与预测Applied Time Series and Forecasting
8定量金融分析学Quantitative Financial Analytics
华盛顿大学 计算金融与风险管理硕士
1投资科学Investment Science
2金融数据建模与分析Financial Data Modeling and Analysis
3投资组合优化与资产管理Portfolio Optimization and Asset Management
4期权与衍生品Options and Derivatives
5蒙特卡罗金融模拟方法Monte Carlo Simulation Methods in Finance
6金融职业道德Ethics in the Finance Profession
7SQL, Excel, and VBA金融数据处理Financial Data Access with SQL, Excel, and VBA
8金融优化方法Optimization Methods in Finance
9计算金融学专题Special Topics in Computational Finance
10金融软件发展与C++Financial Software Development and Integration with C++
11固定收益分析与投资组合管理Fixed Income Analytics and Portfolio Management
12衍生品随机分析Stochastic Calculus for Derivatives
13金融机器学习Machine Learning for Finance
14高级交易体制Advanced Trading Systems
15量化风险管理Quantitative Risk Management
麻省理工学院 金融硕士
1金融理论Finance Theory
2企业财务会计Corporate Financial Accounting
3金融数学原理Fundamentals of Financial Mathematics
4高级金融数学Advanced Financial Mathematics
5金融市场Financial Markets
6企业金融Corporate Finance
7金融分析Analytics of Finance
8高级金融分析Advanced Analytics of Finance
9资本市场/投资管理研讨会Proseminar in Capital Markets/Investment Management
10企业金融/投资银行研讨会Proseminar in Corporate Finance/Investment Banking
11金融研究实习Finance Research Practicum
12金融道德与社会责任Finance Ethics and Social Responsibility
13高级企业金融Advanced Corporate Finance
14期权与期货市场Options and Futures Markets
15固定收益证券与衍生品Fixed Income Securities and Derivatives
加州大学洛杉矶分校 金融工程
1投资学Investments
2财务会计Financial Accounting
3计量经济学Econometrics
4随机分析Stochastic Calculus
5企业金融Corporate Finance
6金融计算方法Computational Methods in Finance
7衍生品市场Derivative Markets
8金融实证方法Empirical Methods in Finance
9固定收益市场Fixed Income Markets
10金融风险管理Financial Risk Management
11金融创新Financial Innovation
12量化资产管理Quant. Asset Management
13高级随机分析Adv. Stochastic Calculus
14应用金融项目Applied Finance Project
15信贷市场Credit Markets
南加州大学 金融工程硕士
1企业财务Corporate Finance
2金融风险管理Management of Financial Risk
3金融工程Financial Engineering
4随机系统Stochastic Systems
5随机过程Stochastic Processes
6金融工程学数学与工具Mathematics and Tools for Financial Engineering
7微观经济分析与政策Microeconomic Analysis and Policy
8宏观经济分析与政策Macroeconomic Analysis and Policy
9金融分析与评估Financial Analysis and Valuation
10经济与金融时间序列1Economic and Financial Time Series I
11应用金融之固定收益证券Applied Finance in Fixed Income Securities
12预测与风险分析Forecasting and Risk Analysis
13投资分析与投资组合管理Investment Analysis and Portfolio Management
14抵押贷款与抵押贷款证券与市场Mortgages and Mortgage-Backed Securities and Markets
15算法分析Analysis of Algorithms
南加州大学 金融数学硕士
1随机计算与金融数学Stochastic Calculus and Mathematical Finance
2数据分析Data Analysis
3经济与金融时间序列1Economic and Financial Time Series I
4金融市场经济学1Economics of Financial Markets I
5应用金融学(固定收益证券)Applied Finance in Fixed Income Securities
6交易学Trading and Exchanges
7投资分析与投资组合管理Investment Analysis and Portfolio Management
8金融风险管理Management of Financial Risk
9抵押贷款与抵押贷款证券与市场Mortgages and Mortgage-Backed Securities and Markets
10数学统计导论Introduction to Mathematical Statistics
11非参数统计Nonparametric Statistics
12统计学理论的数学基础Mathematical Foundations of Statistical Learning Theory
13数值分析与计算Numerical Analysis and Computation
14数值分析Numerical Analysis
15滤波理论Filtering Theory
圣路易斯华盛顿大学 计量金融理学硕士
1金融导论Introduction to Finance
2会计导论Introduction to Accounting
3财务会计(中级会计)Financial Accounting (Intermediate Accounting)
4期权与期货Options & Futures
5投资理论Investment Theory
6金融随机基础Stochastic Foundations for Finance
7职业投资Invest in Your Career
8衍生证券Derivative Securities
9投资学数据分析Data Analysis for Investments
10金融市场学Financial Markets
11金融中介Financial Intermediation
12固定收益证券Fixed Income Securities
13高级企业财务1-评估Advanced Corporate Finance I – Valuation
14数学金融 Mathematical Finance
15高级企业财务2-金融Advanced Corporate Finance II – Financing
波士顿大学 数学金融
1金融概论Fundamentals of Finance
2金融数学编程Programming for Mathematical Finance
3金融数学统计Statistics for Mathematical Finance
4资产定价的随机方法1Stochastic Methods of Asset Pricing I
5固定收益证券Fixed Income Securities
6资产管理方向Asset Management Concentration
7定量分析方向Quantitative Analytics Concentration
8风险管理方向Risk Management Concentration
9分析与研究方向Analytics & Research Concentration
密歇根大学安娜堡分校 计量金融与风险管理硕士
1高级金融数学Advanced Financial Mathematics
2离散状态随机过程Discrete State Stochastic Processes
3金融随机分析Stochastic Analysis for Finance
4财务应用数值方法Numerical Methods with Financial Applications
5计算金融Computational Finance
6统计应用1Applied Statistics I
7金融数据统计分析Statistical Analysis of Financial Data
8算法交易数学方法Mathematical Methods of Algorithmic Trading
9线性编程Linear Programming
10连续优化方法Continuous Optimization Methods
11非线性编程Nonlinear Programming
12应用多变量分析Applied Multivariate Analysis
13时间序列分析Analysis of Time Series
14信度Reliability
15数据库管理Database Management
罗格斯大学 金融统计与风险管理理学硕士
1金融风险管理方向Financial Risk Management track
2风险管理实践高级方法/统计学Advanced Methods/Statistics for Risk Management Practice
3概率与统计推断方法与理论的金融应用Methods and Theory of Probability and Statistical Inference with Financial Applications
4金融回归分析Regression Analysis in Finance
5金融时间序列分析Financial Time Series Analysis
6金融统计学与风险管理基础Foundations of Financial Statistics & Risk Management
7金融高级统计方法Advanced Statistical Methods in Finance
8金融高级模拟方法Advanced Simulation Methods for Finance
9高级风险评估与管理Advanced Risk Evaluation and Management
10金融统计学与风险管理高级编程Advanced Programming for Financial Statistics & Risk Management
11资产配置与投资组合管理(金融风险管理方向选修、金融统计方向必修)Asset Allocation and Portfolio Management (elective for students taking the Risk Management track, required for students taking the Financial Statistics track)
12金融数据挖掘(金融风险管理方向选修、金融统计方向必修)Financial Data Mining (elective for students taking the Risk Management track, required for students taking the Financial Statistics track)
13金融统计方向Financial Statistics track
14概率与统计推断方法与理论的金融应用Methods and Theory of Probability and Statistical Inference with Financial Applications
15金融回归分析Regression Analysis in Finance
16金融时间序列分析Financial Time Series Analysis
17金融统计学与风险管理基础Foundations of Financial Statistics & Risk Management
18金融高级统计方法Advanced Statistical Methods in Finance
19金融高级模拟方法Advanced Simulation Methods for Finance
20金融数据挖掘Financial Data Mining
21资产配置和投资组合管理Asset Allocation and Portfolio Management
22金融统计学与风险管理高级编程Advanced Programming for Financial Statistics & Risk Management
23高级风险管理方法实践(金融统计方向选修、金融风险管理方向必修)Advanced Methods for Risk Management Practice (elective for students taking the Financial Statistics track, required for students taking the Risk Management track)
24高级风险评估与管理(金融统计方向选修、金融风险管理方向必修)Advanced Risk Evaluation and Management(elective for students taking the Financial Statistics track, required for students taking the Risk Management track)Financial Statistics track
罗格斯大学 金融数学理学硕士
1金融数学 1Mathematical Finance I
2金融数学 2Mathematical Finance II
3计量经济学 1Econometrics I
4计量经济学 2Econometrics II
5数值分析 1Numerical Analysis I
6数值分析 2Numerical Analysis II
7偏微分方程解法Numerical Solution of Partial Differential Equations
罗格斯大学纽瓦克分校 计量金融硕士
1固定收益证券分析Analysis of Fixed Income Securities
2计量经济学Econometrics
3金融机构与市场Financial Institutions & Markets
4金融建模Financial Modeling
5职业生涯规划原理Fundamentals of Career Planning
6数值分析Numerical Analysis
7投资分析与管理Investment Analysis & Management
8投资组合管理Portfolio Management
9风险管理Risk Management
10优化模型Optimization Models in Finance
里海大学 分析金融硕士
1金融演算1Financial Calculus I
2金融演算2Financial Calculus II
3随机过程与应用Random Processes and Applications
4统计计算与应用Statistical Computing and Application
5计量经济学Econometrics
6统计线性模型与应用Linear Models in Statistics with Applications
7优化模型与应用Optimization Models and Applications
8随机模型与应用Stochastic Models and Applications
9高级投资学Advanced Investments
10衍生品与风险管理Derivatives and Risk Management
11高级金融管理专题Advanced Topics in Financial Management
12金融优化Financial Optimization
13金融工程项目Financial Engineering Projects
佛罗里达大学 工业与系统工程硕士-计量金融方向
1高级工程经济学Advanced Engineering Economy
2数值偏微分Numerical Partial Derivatives
3随机微分方程与滤波理论Stochastic Differential Equations and Filtering Theory I
4回归分析Regression Analysis
5应用时间序列分析Applied Time Series Analysis
6金融1:资产评估、风险与回报Finance I: Asset Valuation, Risk, and Return
7金融2:资本结构与风险管理问题Finance II: Capital Structure and Risk Management Issues
8价值衡量与管理Measuring and Managing Value
9金融决策Financial Decision Making
10估值研究Study in Valuation
11衍生证券Derivative Securities
12固定收益安全评估Fixed Income Security Valuations
13利率风险管理Interest Rate Risk Management
14国际金融International Finance
15资产配置与投资战略Asset Allocation and Investment Strategies
迈阿密大学 数学金融硕士
1统计分析Statistical Analysis
2数学金融导论Introduction to Mathematical Finance
3金融投资学Financial Investments
4统计分析2与金融应用Statistical Analysis II with Financial Applications
5随机分析与金融应用Stochastic Calculus with Applications to Finance
6高级投资学专题Advanced Topics in Investments
7优化方法Optimization Methods
8金融计算方法Computational Methods of Finance
9并行计算导论Introduction to Parallel Computing
10人工智能导论Introduction to Artificial Intelligence
11计量金融与市场微观结构Quantitative Finance & Market Microstructure
12另类投资Alternative Investments
13国际金融International Finance
14企业财务Corporate Finance
15金融模型Financial Modeling
福特汉姆大学 计量金融硕士
1概率与统计Probability and Statistics
2高级金融建模Advanced Financial Modeling
3衍生品基础知识Basics of Derivatives
4随机数学导论Introduction to Stochastic Calculus
5金融计量1Financial Econometrics I
6股权衍生品Equity-Style Derivatives
7模拟应用Simulation Applications
8财务理论Finance Theory
9金融计量2Financial Econometrics II
10风险管理Risk Management
11金融C++C++ for Finance
12金融工程师商务沟通Business Communication for Quants
13研讨会1Research Seminar I
14计算金融学Computational Finance
15信贷风险管理Credit Risk Management
康涅狄格大学 应用金融数学理学硕士
1金融数学基础Fundamentals of Financial Math
2金融数学1:利率理论Financial Math I: Theory of Interest
3金融数学2:企业金融理论Financial Math II: Theory of Corporate Finance
4高级金融数学:随机金融Advanced Financial Math: Stochastic Finance
5数据计算:大型金融模型Statistical Computing: Large Financial Models
6财务报表分析Financial Statement Analysis
7投资学与证券分析Investments and Securities Analysis
8金融编程与建模Financial Programming and Modeling
9固定收益产品Fixed Income Instruments
10房地产投资与投资组合管理Real Estate Investment and Portfolio Management
11房地产资本市场Real Estate Capital Markets
12金融市场与估价理论Theory of Financial Markets and Valuation
13金融理论与实证导论Introduction to Finance Theory and Evidence
14财务会计与报表Financial Accounting and Reporting
15风险理论Risk Theory
北卡罗来纳州立大学罗利分校 金融数学硕士
1期权与衍生品定价Options and Derivatives Pricing
2统计推断原理1Fundamentals of Statistical Inference I
3资本投资经济分析Capital Investment Economic Analysis
4金融工程师职业发展研讨会Career Development for Quants, a Seminar
5金融数学Financial Mathematics
6统计推断原理2Fundamentals of Statistical Inference II
7金融数学与蒙特卡罗法Monte Carlo Methods for Financial Mathematics
8金融数学研讨会Seminar in Financial Mathematics
9金融数学实习Internship in Financial Mathematics
10金融数学项目Project in Financial Mathematics
11经济学与金融学的计算方法Computational Methods in Economics and Finance
12金融数学研讨会Seminar in Financial Mathematics
普渡大学西拉法叶校区 统计(计算金融方向)理学硕士
1期权与期货Options and Futures
2证券分析Security Analysis
3金融风险管理Financial Risk Management
4投资组合管理Portfolio Management
5电子表格建模与仿真Spreadsheet Modeling and Simulation
6金融市场研讨会Seminar in Financial Markets
7金融算法设计与分析Design and Analysis of Financial Algorithms
8风险投资与投资银行Venture Capital And Investment Banking
9财务管理 1Financial Management I
10跳跃过程金融建模Financial Modeling with Jump Processes
11金融时间序列Financial Time Series
伍斯特理工学院 金融数学理学硕士
1随机过程Stochastic Processes
2勒贝格测量与积分Lebesgue Measure and Integration
3理论测量概率Measure Theoretic Probability
4概率与数理统计学 1Probability and Mathematical Statistics Ⅰ
5金融数学1Financial Mathematics Ⅰ
6金融数学2Financial Mathematics Ⅱ
7金融数学计算方法Computational Methods of Financial Mathematics
8投资组合估值与风险管理Portfolio Valuation and Risk Management
9市场和信贷风险专题与管理Market and Credit Risk Topics and Management
伊利诺伊理工学院 数学金融硕士
1期货、期权与场外衍生品Futures, Options and OTC Derivatives
2计算金融学Computational Finance
3C++与金融应用C++ with Financial Applications
4随机过程Stochastic Processes
5金融数学 1Mathematical Finance I
6金融蒙特卡罗方法Monte Carlo Methods in Finance
7金融数学 2Mathematical Finance II
8固定收益模型理论与实践Theory and Practice of Fixed Income Modeling
伊利诺伊大学香槟分校 金融工程理学硕士
1金融学导论Introduction to Finance
2经济学(股票市场基本面分析)Economics of Stock Market Fundamentals
3金融统计方法Statistical Methods in Finance
4金融计算Financial Computing
5专业提升Professional Development
6金融数值方法Numerical Methods in Finance
7金融衍生品Financial Derivatives
8风险衡量与管理Risk Measures and Management
9金融随机微积分Stochastic Calculus in Finance
明尼苏达大学双城分校 金融数学硕士
1金融计算、算法与编码Computation, Algorithms and Coding in Finance
2金融数学背景Mathematical Background for Finance
3数学理论金融应用Mathematical Theory Applied in Finance
4风险与资产配置 1、2Risk and Asset Allocation I & II
5固定收益市场Fixed Income Markets
6Copula模型与MCMCCopula Models and MCMC
7抵押担保证券分析与估值Analysis and Valuation of Mortgage Backed Securities
8金融波动模型Volatility Models in Finance
斯蒂文斯理工学院 金融工程理学硕士
1金融工程师随机微积分Stochastic Calculus for Financial Engineers
2定价与套期保值Pricing and Hedging
3金融学计算方法Computational Methods in Finance
4投资组合理论与应用Portfolio Theory and Applications
5高级金融衍生品Advanced Derivatives
6金融工程特殊问题Special Problems in Financial Engineering
7金融工程论文Thesis in Financial Engineering
8算法交易策略方向Algorithmic Trading Strategies Concentration
9金融服务分析方向Financial Services Analytics Concentration
10金融风险工程方向Financial Risk Engineering Concentration
11金融统计学方向Financial Statistics Concentration
12金融计算方向Financial Computing Concentration
北卡罗来纳大学夏洛特分校 数学金融理学硕士
1金融经济理论Financial Economic Theory
2金融计量经济学Financial Econometrics
3衍生品金融要素Financial Elements of Derivatives
4固定收益证券与信用风险Fixed Income Securities and Credit Risk
5截面与时间序列计量经济学Cross Section and Time Series Econometrics
6金融随机微积分1Stochastic Calculus for Finance I
7计算金融方向COMPUTATIONAL FINANCE
8风险管理方向RISK MANAGEMENT
9金融数据分析学方向FINANCIAL DATA ANALYTICS
伦斯勒理工学院 金融工程与风险分析理学硕士
1财务管理1Financial Management I
2金融计算Financial Computation
3金融建模Financial Modeling
4期权期货与衍生品市场Options Futures & Derivatives Markets
5金融模拟Financial Simulation
克莱蒙特研究大学 金融工程理学硕士
1企业金融Corporate Finance,
2风险管理导论Introduction to Risk Management
3统计学Statistics
4随机过程Stochastic Processes
5金融时间序列Financial Time Series
6金融衍生品Financial Derivatives
7金融数学Mathematical Finance
8资产管理实习Asset Management Practicum
9定量风险管理Quantitative Risk Management
10最优投资组合理论Optimal Portfolio Theory
佛罗里达州立大学 金融数学理学硕士
1金融数学导论Introduction to Financial Mathematics
2金融工程1Financial Engineering I
3金融数学蒙特卡罗方法Monte Carlo Methods in Financial Mathematics
4金融数学研讨会Financial Mathematics Proseminar
5精算科学方向Actuarial Science track
6量化金融方向Quantitative Finance track
纽约州立大学石溪分校 计量金融理学硕士
1计量金融案例研究Case Studies in Quantitative Finance
2计量金融实习Internship in Quantitative Finance
3金融贝叶斯方法Bayesian Methods in Finance
4高频金融数学Mathematics of High Frequency Finance
5并行计算原理Principles of Parallel Computing
6算法分析Analysis of Algorithms
7概率论 1Probability Theory I
8数理统计学导论Introduction to Mathematical Statistics
9数据分析Data Analysis
10回归理论Regression Theory
11时间序列分析Time Series Analysis
12金融数学Financial Mathematics
13计算基础Fundamentals of Computing
14大数据分析Big Data Analysis
15计量金融计算方法实验室Laboratory in Computational Methods for Quantitative Finance
罗切斯特理工学院 计算金融硕士理学硕士
1决策者会计Accounting for Decision Makers
2金融调查Survey of Finance
3股票分析Equity Analysis
4债务分析Debt Analysis
5高级衍生品Advanced Derivatives
6金融数学 1Mathematics of Finance I
7金融数学 2Mathematics of Finance II
8计算金融实践Computational Finance Experience
戴顿大学 金融数学理学硕士
1金融学原理Principles of Finance
2时间序列Time Series
3数值分析2Numerical Analysis II
4金融数学1—离散模型Financial Mathematics I-Discrete Model
5金融数学2—连续模型Financial Mathematics II-Continuous Model
6金融数学高级专题Advanced Topics in Financial Mathematics
7计算金融Computational Finance
8金融衍生品与风险管理Financial Derivatives & Risk Management
9数学实践Mathematics Clinic
天普大学 金融工程理学硕士
1衍生品市场Derivative Markets
2随机微积分Stochastic Calculus
3职业发展Professional Development
4数值方法Numerical Methods
5资产定价Asset Pricing
6金融计量经济学Financial Econometrics
7连续时间金融Continuous Time Finance
8金融时间序列Financial Time Series
9替代性投资Alternative Investments
10随机波动Stochastic Volatility
11结构性产品Structured Products
12企业金融Corporate Finance
13固定收入Fixed Income
德保罗大学 计算金融理学硕士
1编程导论Introduction to Programming
2C++编程Accelerated C++
3数据分析与回归Data Analysis and Regression
4时间序列分析与预测Time Series Analysis and Forecasting
5统计学与数据分析Statistics and Data Analysis
6硕士研究Master's Research
霍夫斯特拉大学 计量金融硕士理学硕士
1管理金融Managerial Finance
2投资学Investments
3衍生品市场Derivatives Markets
4高级衍生品市场Advanced Derivatives Markets
5金融数据时间序列分析Time Series Analysis of Financial Data
6计算金融导论Introduction to Computational Finance
7金融工程Financial Engineering
8金融建模Financial Modeling
9金融微积分Advanced Calculus in Finance
新泽西理工学院 数学与计算金融理学硕士
1衍生品市场Derivative Markets
2计算数值方法Numerical Methods for Computation
3随机微积分Stochastic Calculus
4时间序列分析Time Series Analysis
5金融数学Mathematical Finance
6期间结构模型Term Structure Models
7金融模拟Simulation for Finance
8金融偏微分方程Partial Differential Equations for Finance
9信用风险建模Credit Risk Modeling
10数学与计算金融项目Project in Math & Computational Finance
华盛顿州立大学 数学(计算金融方向)理学硕士
1利率与金融市场Interest Rates and Financial Markets
2金融管理问题Problem in Financial Management
3投资分析Investment Analysis
4投资组合管理Portfolio Management
5国际金融International Finance