The Post-Master in Quantitative Economics Certificate in Financial Economics and Risk Management
The Post-Master of Science in Quantitative Economics Certificate in Financial Economics and Risk Management has a sequence of three courses that provide very marketable training in financial economics and risk management. The curriculum includes a project where the student will design and implement a risk management program or financial engineering application.
The certificate requires completion of all three classes listed below (9 credits).
ECON 543 | Financial Economics Part I | 3 |
ECON 544 | Financial Economics Part II | 3 |
ECON 545 | Financial Economics Part III | 3 |