Princeton的全稱是Princeton University的Master in Finance,即普林斯頓大學金融碩士,下面將詳細介紹Princeton的的項目特點/院系介紹、Princeton的的研究領(lǐng)域、Princeton的的研究生申請要求。
普林斯頓大學
Graduates of our program have a solid understanding of the fundamental quantitative tools from economic theory, probability, statistics, optimization and computer science, all of which are becoming increasingly vital in the financial industry. While there has been much debate in recent months about the role of quantitative finance in the financial crisis, the financial industry has increasingly placed strong emphasis on quantitative tools and analysis as it seeks to rebuild itself and strengthen risk management practices. A driving force behind these developments is a lively exchange of ideas between academia and the financial industry, a collaboration that is the closest parallel in the social sciences to the academic-private sector interactions routinely seen in engineering and the applied sciences.
The Master in Finance program is intended to prepare students for a wide range of careers both inside and outside the financial industry, including financial engineering and risk management, quantitative asset management, macroeconomic and financial forecasting, quantitative trading, and applied research.
1、Financial Engineering and Risk Management
2、Quantitative Asset Management and Macroeconomic Forecasting
3、Financial Technologies
1、金融工程與風險管理
2、定量資產(chǎn)管理與宏觀經(jīng)濟預(yù)測
3、金融技術(shù)