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2017年美国金融专业名校申请条件

2016-5-24 11:37发布者: 中青留学 浏览次数: 605

  美国纽约大学NYU金融数学硕士专业解读

  金融工程专业排名:6

  项目:金融数学硕士【M.S. in Mathematics in Finance】

  项目介绍

  纽约大学金融数学硕士(M.S. in Mathematics in Finance)一般为其3个学期,春秋两季皆可申请,春季12月1日截止,秋季2月8日截止,必需GRE成绩,但无需GRE Subject数学成绩,无最低GRE与GPA分数要求。该项目不向学生提供奖学金。

  Tuition

  $1,554.00/学分

  课程

  每个学期要修4门课程。

  申请截止日期

  春季12月1日截止,秋季2月8日截止;February 8 (Fall, full-time only), August 1 (Fall, part-time only), December 1 (Spring, part-time only).

  申请材料

  在线申请表The application itself

  大学成绩单Official trans from all colleges or universities you attended

  Standardized test scores:

  TOEFL成绩100+,不接受雅思

  必需有GRE,不接受GMAT

  3封推荐信Three Letters of Recommendation

  申请费:$115

  个人陈述Statement of purpose

  简历Résumé

  官网链接:http://www.math.nyu.edu/financial_mathematics/

  美国芝加哥大学金融数学专业(MSFM)解读

  金融工程专业排名:14

  项目:金融数学硕士【Master Science in Financial Mathematics(MSFM)】

  项目介绍

  芝加哥大学金融数学硕士(Master Science in Financial Mathematics)开设在数学系下面,要求申请者有深厚的数学能力(微积分、线性代数、概率、统计、微分方程)、相关工作经验(虽然没有工作经验也可以录取,但是建议有经验最好)、计算机编程基础(如C++语言),并掌握一门计量类编程软件(如MATLAB)。

  该项目申请阶段不需要递交GMAT成绩、高中成绩单、论文、专业学术刊物等等,申请过程不考虑这些材料。

  Tuition

  100学分课程$5,786(2014-2015年)

  课程

  100 unit courses

  Topics in Economics

  Statistical Risk Management

  Mathematical Foundations of Option Pricing

  Computing for Finance I

  Stochastic Calculus

  Numerical Methods

  Computing for Finance II

  Regression Analysis and Quantitative Trading Strategies

  Fixed Income Derivatives

  Computing for Finance III

  Financial Time Series @ Chicago Booth

  Topics in Economics

  Advanced Fixed Income Derivatives

  50 unit course

  Introduction to Finance and Markets

  Portfolio Theory and Risk Management I

  Portfolio Theory and Risk Management II

  Foreign Exchange and Fixed Income Derivatives

  申请截止日期

  申请截止日期为1月7日。

  申请材料

  在线申请Online Application

  大学成绩单Trans from all previous colleges and universities attended

  Standardized test scores:

  TOEFL90+(代码1832)或者雅思7.0+分

  必需有GRE成绩,未设定有最低分数要求,GRE数学科目成绩建议提交

  3封推荐信3 Letters of Recommendation

  申请费:$90

  个人陈述Candidate Statement

  简历Resume/CV

  官网链接:http://finmath.uchicago.edu/

  美国约翰·霍普金斯大学金融数学工程

  金融工程专业排名:19

  项目:金融数学工程硕士【Master of Science in Engineering in Financial Mathematics】

  项目介绍

  约翰霍普金斯大学金融数学硕士(Master of Science in Engineering in Financial Mathematics)专业即该校开设的金融工程项目,开设在应用数学与统计学系(Department of Applied Mathematics and Statistics)下面。该项目历时3个学期,申请条件与应用数学与统计专业一致,要求申请者有很强的本科数学背景。

  Tuition

  $47,060;书本费:$1,200

  金融数学核心课程 (4 courses)

  550.442 Investment Science

  550.444 Introduction to Financial Derivatives

  550.445 Interest Rate and Credit Derivatives

  550.448 Financial Engineering and Structured Products or

  550.446 Risk Measurement/Management in Financial Markets

  应用数学核心课程 (5 courses)

  550.427 Stochastic Processes and Applications to Finance

  550.433 Monte Carlo Methods

  550.413 Applied Statistics and Data Analysis

  550.439 Time Series Analysis

  550.461 Optimization in Finance

  选修课程 (3 courses)

  One course in Applied Mathematics and Statistics

  One course in Financial Mathematics

  One additional course with prior program approval

  申请截止日期

  该项目申请分为春季招生和秋季入学,春季申请截止日期为9月15日,而秋季申请截止日期为1月15日。January 15, 2015 (Fall), September 15, 2014 (Spring)

  申请材料

  ★ 完成在线申请表Online Application Form

  ★ 成绩单Unofficial Trans,成绩单需要One Earth或WES或ECE认证。

  ★ Standardized test scores:

  TOEFL成绩100+或者雅思7.0+

  需要GRE成绩(数学156、语文153、写作3.0),GRE科目成绩建议提交

  ★ 3份推荐信:3 Letters of Recommendation

  ★ 申请费:$75

  ★ 个人陈述Statement of Purpose

  ★ Supplementary Application Form

  ★ Financial Support Documents

  官网链接:http://engineering.jhu.edu/ams/graduate-studies/financial-mathematics-masters-program/

  美国明尼苏达大学双城分校金融数学硕士专业MFM解读

  金融工程专业排名:20

  项目:金融数学硕士【Master of Financial Mathematics (MFM)】

  项目介绍

  明尼苏达大学双城分校金融数学(Master of Financial Mathematics,缩写:MFM)项目共需修够32个学分,要求所有申请者获得正规大学学士学位,且修读完毕本科微积分和线性代数,建议修读过概率论,且熟悉一门编程语言。该项目每年录取约50人,且不提供任何形式奖学金。该项目只有秋季招生,申请截止时间是2月1日,3月15日公布第一批录取结果,5月1日公布第二批录取结果。

  Tuition

  国际学生:1,150/学分

  主修课程

  FM 5091/5092 Computation, Algorithms and Coding in Finance

  FM 5011/5012 Mathematical Background for Finance

  FM 5021/5022 Mathematical Theory Applied in Finance

  FM 5001/5002 Preparation for Financial Mathematics

  FM 5031/5032 Practitioners Course

  Risk and Asset Allocation I & II

  Fixed Income Markets

  Copula Models and MCMC

  Analysis and Valuation of Mortgage Backed Securities

  Volatility Models in Finance

  侧重方向

  MFM with Emphasis in Management

  MFM with Emphasis in Statistics

  MFM with Emphasis in Applied Economics

  MFM with Emphasis in Economics

  MFM with Emphasis in Computer Science

  MFM with Additional Mathematics

  MFM with Emphasis in Industrial & Systems Engineering

  MFM with Emphasis in World Economy and Rates

  申请截止日期

  The final deadline for MFM applications is February 1.秋季入学最终申请截止日期为2月1日。

  申请材料

  ★ 完成在线申请表Online Application Form

  ★ 成绩单 Trans, GPA3.0+

  ★ Standardized test scores:

  TOEFL79分(代码6874),写作21分,阅读19分,IELTS6.5

  GRE不设最低分数但研究生院基本要求300分以上;不要GMAT成绩

  ★ 3份推荐信:3 Letters of Recommendation

  ★ 个人陈述Statement of Purpose

  ★ 简历Resume' or CV

  ★ 工作实习经验:Deion of Research or Work Experience

  ★ 写作样本Writing Sample,不需要但如果递交也会是申请的考虑因素。

  ★ 申请费:$95

  官网链接: http://www.math.umn.edu/finmath/

  美国伊利诺斯理工学院金融数学硕士专业MMF解读

  金融工程专业排名:25

  项目:金融数学硕士【Master of Mathematical Finance (MMF)】

  项目介绍

  伊利诺伊理工学院金融数学硕士(Master of Mathematical Finance,缩写:MMF)属商学院与理学院的应用数学系共同开设的交叉项目。该项目要求申请者已拥有数学、工程相关学士学位。如申请者缺乏相关专业背景,需修读相关前置课程,且需参加面试。商学院向符合条件的申请者提供Merit-based奖学金,无需单独申请,以下因素决定奖学金授予:教育经历、考试分数、工作经验和推荐信。

  Tuition

  $1,675/学分

  11门课程=8门核心课程+3门选修课程

  核心课程(24学分)

  MSF 505 Futures, Options and OTC Derivatives

  MSF 526 Computational Finance

  MSF 575 C++ with Financial Applications

  MATH 542 Stochastic Processes

  MATH 548 Mathematical Finance I

  MATH 565 Monte Carlo Methods in Finance

  MATH 582 Mathematical Finance II

  MATH 586 Theory and Practice of Fixed Income Modeling

  ? 选修课程

  CS 522 Data Mining

  MATH 512 Partial Differential Equations

  MATH 522 Mathematical Modeling

  MATH 540 Probability

  MATH 543 Stochastic Analysis

  MATH 544 Stochastic Dynamics

  MATH 545 Stochastic Partial Differential Equations

  MATH 546 Introduction to Time Series

  MATH 566 Multivariate Analysis

  MATH 567 Advanced Design of Experiments

  MATH 569 Statistical Learning

  MATH 577 Computational Mathematics I

  MATH 578 Computational Mathematics II

  MATH 579 Complexity of Numerical Problems

  MATH 587 Theory and Practice of Modeling Credit Risk and Credit Derivatives

  MATH 589 Numerical Methods for PDEs

  MATH 590 Meshfree Methods

  MSF 524 Models for Derivatives

  MSF 525 Term Structure Modeling and Interest Rate Derivatives

  MSF 545 Structured Fixed Income Portfolios

  MSF 546 Quantitative Investment Strategies

  MSF 554 Market Risk Management

  MSF 555 Credit Risk Management

  MSF 564 Financial Theory

  MSF 565 International Finance Theory

  MSF 566 Financial Time Series Analysis

  MSF 567 Bayesian Econometrics

  MSF 574 .NET and Database Management

  MSF 576 OOP and Algorithmic Trading Systems

  MSF 577 High Frequency Finance

  MSF 584 Equity and Equity Derivatives Trading

  MSF 585 Fixed Income Trading Strategies

  MSF 586 Advanced Options Trading Strategies

  申请截止日期

  国际学生申请截止日期4月15日,April 15。

  申请材料

  ★ 完成在线申请表Online Application Form

  ★ 成绩单Trans,GPA3.0+

  ★ Standardized test scores:

  TOEFL成绩100+

  GRE310+,GRE写作2.5以上

  ★ 2份推荐信:3 Two letters of recommendation

  ★ 申请费:$75

  ★文章Essay

  1.Why do you wish to pursue graduate study in the program to which you are applying? Discuss how you believe graduate studies will contribute to your professional goals.

  2.Develop a five-year career plan, including your professional goals and how you intend to implement them. Discuss how you believe your IIT Stuart education will fit in to your plan.

  ★ 简历Resume

  官网链接:http://science.iit.edu/mathematical-finance

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