Course Description
The project provides the students the opportunity to apply quantitative financial mathematics to a problem of practical interest under the supervision of faculty and/or practitioners. Links academic theory to applications. Examine a practical problem from financial mathematics using marketplace data. Approach solutions to the problem considering aspects of quantitative risk and/or optimal returns. Methods and models will be drawn from academic courses and other sources. Restricted to students in the Masters of Financial Mathematics.
Summer I 10W 2024
Instructors
Meeting Patterns
 Classes Start:
							May 15, 2024
						 Classes End:
							July 26, 2024
						 Room Number:
							[TBA]
						 Class Days:
							[TBA]
						 Class Type:
							Independent Study
						 Credits:
							3.00
						 Restrictions:
							Must be a student registered in the Masters of Financial Mathematics program. Financial Mathematics Masters student only