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The components are then integrated, addressing the modellingvaluation and hedging of equity derivativescommodity derivativesforeign exchange derivativesand fixed income instruments and their related credit- and interest rate derivatives.
Some programs also cover quantitative portfolio management and -optimization     . See Outline of finance Derivatives pricing The title of the degree will depend on emphasis,  the major differences between programs being the curriculum's distribution between mathematical theory, quantitative techniques and financial applications.
The practice oriented programs are often positioned as professional degrees and in the United Statesare sometimes offered as Professional Science Masters . Programs are sometimes offered as a Master of Engineering or as a Master of Operations Research. The treatment of any common topics—usually " derivatives ", financial modelingand risk management —will be less or even non technical.
Entrance requirements are similarly less mathematical. Note that Master of Finance M. That degree focuses on the underlying economicsand on developing and testing theoretical models, and aims to prepare graduates for research based roles and for doctoral study.
The curriculum therefore emphasises coverage of financial theory, and of econometricswhile the treatment of model implementation through mathematical modeling and programmingwhile important, is secondary. For students whose interests in finance are commercial rather than academica Masters in Quantitative Finance may be seen as an alternative to a PhD in finance.
At the same time though, "Masters in Mathematical Finance" programs are often positioned as providing a basis for doctoral study. History[ edit ] The first quantitative finance masters programs in the US were offered by Illinois Institute of Technology inunder Dr.The Presidential Innovation Fellows program brings the principles, values, and practices of the innovation economy into government through the most effective agents of change we know: our people.
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