
Claremont Graduate University

California
,United States

Program Name
Master of Science in Financial Engineering
Overview

The Master of Science in Financial Engineering program at Claremont Graduate University is meticulously designed to equip students with a comprehensive understanding of the financial sector, combining rigorous academic principles with practical applications. The program spans 18 months and offers an immersive curriculum that dives deep into the analytical tools, quantitative methods, and industry practices essential for success in financial engineering. With a strong emphasis on data analysis, risk management, and financial modeling, students will gain the expertise needed to thrive in a rapidly evolving financial landscape.
At Claremont, the education quality is paramount. The program leverages cutting-edge technology and modern teaching methodologies to engage students actively in their learning process. Courses such as Financial Risk Management, Derivatives Pricing, and Portfolio Management ensure that students are not only adept at theoretical concepts but also proficient in applying these principles in real-world scenarios. The curriculum is regularly updated to reflect current trends and shifts in the financial markets, allowing students to stay ahead of the curve.
The faculty at the Drucker School of Management are industry leaders and seasoned academics who bring a wealth of knowledge and experience to the classroom. Many faculty members have backgrounds in high-level finance roles, offering valuable insights that extend beyond textbooks. Their teaching style emphasizes interactive learning, encouraging students to engage in discussions, group projects, and hands-on simulations that mirror real-world challenges in the financial industry.
In addition to a robust curriculum, students are provided with numerous research opportunities that can shape their academic and professional trajectories. The university houses state-of-the-art research labs and data analysis facilities, allowing students to work on impactful projects alongside faculty members. This research experience not only enhances learning but also strengthens students' resumes, making them attractive candidates for potential employers post-graduation.
Moreover, Claremont Graduate University has forged strong connections with industry leaders and firms, facilitating numerous internship opportunities that provide students with practical experience. These connections are invaluable; internships often lead to job offers and lasting professional relationships. The university’s dedicated career services team works closely with students, guiding them through the placement process and providing resources that enhance their job search and interview preparation.
Why Study Financial Engineering at Claremont Graduate University
- A diverse and inclusive community, making it a popular choice among international students.
- Access to distinguished faculty members, many of whom are leading experts in the field.
- High-end research labs equipped with the latest technology to facilitate innovative research.
- Robust career services and placement programs to assure successful job placement post-graduation.
- A comprehensive curriculum that balances theoretical knowledge with practical skills, preparing you for real-world challenges.
The career pathways for graduates of the Master of Science in Financial Engineering are diverse and lucrative. Alumni of the program have successfully secured positions in investment banks, financial consulting firms, insurance companies, and tech firms specializing in financial technologies. Common job titles include Quantitative Analyst, Risk Manager, Financial Consultant, and Portfolio Manager. The program's reputation for excellence ensures that graduates are well-prepared to meet the demands of these competitive roles.
Success stories from alumni highlight the value of the program. Many have shared testimonials about how the skills they acquired at Claremont allowed them to excel in their careers, often attributing their job placements to the strong network and high-quality education they received. With an average international student diversity rate of 22%, the program fosters a global perspective, enhancing learning through collaboration with peers from various cultural backgrounds.
Prerequisites for entering the Master of Science in Financial Engineering include a strong foundation in mathematics and statistics, as well as some exposure to finance or economics. Prospective students are typically required to submit standardized test scores from recognized English language proficiency exams such as IELTS, PTE, or TOEFL, ensuring that all students can fully engage with the program's rigorous academic demands.
In summary, pursuing a Master of Science in Financial Engineering at Claremont Graduate University is a strategic investment in your future. The program not only emphasizes the acquisition of theoretical knowledge but also fosters practical skills through research and industry connections. As the financial landscape continues to evolve, the demand for highly skilled financial engineers will only increase. Enrolling in this program positions you at the forefront of this dynamic field, ready to make meaningful contributions to the world of finance.

Duration
18 Months
Class Profile
Diversity
Others:
21%California:
45%Illinois:
5%New York:
15%Texas:
10%Florida:
4%Eligibility Criteria
English Proficiency Tests
IELTS
7
PTE
66
TOEFL
95
Application Requirements
Here's everything you need to know to ensure a complete and competitive application—covering the key documents and criteria for a successful submission.

Application Fee: 80
Application Deadlines
Fees and Funding

Tuition Fees
$52,800 / year
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