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The MAQRM offers a program blending education in contemporary mathematical finance with actuarial risk management - two fields that have grown increasingly interconnected, driving demand for professionals skilled in both disciplines. The program features newly designed courses covering risk management and financial stochastic calculus, alongside instruction in actuarial science, financial economics, statistical methods, and numerical analysis. Leveraging strong ties with the regional insurance sector and other risk management enterprises, the MAQRM facilitates hands-on learning opportunities and mentorship throughout the two-year curriculum. These industry relationships also play a key role in graduate employment outcomes. Note that MAQRM students do not receive graduate assistantship support.
English Language requirements: