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.
Spring 8W2 2025
Instructors
Meeting Patterns
Classes Start:
February 27, 2025
Classes End:
April 22, 2025
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.