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QS Rank:

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11

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National University Of Singapore

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Singapore

Singapore

The MSc in Quantitative Finance at the National University of Singapore (NUS) is an intensive and meticulously designed program aimed at equipping students with a comprehensive understanding of quantitative finance. As a premier institution consistently ranked among the top universities globally, NUS provides students access to cutting-edge resources, innovative teaching methodologies, and a vibrant academic community. This program is structured to bridge the gap between theoretical knowledge and practical application, making graduates highly sought after in the finance industry.

In this program, students delve deep into the core concepts of finance, mathematics, and statistical analysis, which are essential for modern quantitative finance. The curriculum is structured to cover key areas such as risk management, asset pricing, and advanced investment strategies. Students will engage with an interactive learning environment that encourages collaboration and critical thinking, preparing them for the complexities of financial markets. The programming courses will introduce students to essential programming languages and tools commonly used in the finance sector, such as Python and R, enabling them to perform intricate analyses and modeling.

The faculty at NUS comprises leading experts in the field of finance, many of whom have substantial industry experience and strong academic backgrounds. Their expertise not only enhances the learning experience but also provides students with valuable insights into the workings of the finance world. The teaching methodology emphasizes practical exposure, enabling students to apply theoretical concepts in real-world scenarios. Faculty members often engage students in hands-on projects, case studies, and research initiatives, fostering an environment ripe for intellectual growth and innovation.

Research opportunities are abundant within the MSc in Quantitative Finance program. NUS encourages students to participate in groundbreaking research projects, often in collaboration with prominent financial institutions. The university boasts state-of-the-art research facilities, including high-tech labs designed for quantitative analysis and financial modeling. This practical research experience is invaluable, as it not only equips students with the skills needed to excel in their careers but also enhances their resumes, setting them apart in the competitive job market.

Students of the MSc in Quantitative Finance benefit from NUS's extensive industry connections, which open doors to numerous internship opportunities and career pathways. The university has established partnerships with leading financial institutions, providing students with access to internships that allow them to apply their learning in real-world contexts. These practical experiences are crucial in enhancing students’ employability and help them build a robust professional network that can be beneficial throughout their careers in finance.

Upon graduation, students will find a wealth of career opportunities available to them in various sectors, including investment banking, asset management, risk management, and quantitative research roles. The program is designed to produce graduates equipped with the analytical skills and theoretical knowledge required to navigate the complexities of modern finance. Alumni of the MSc in Quantitative Finance program have gone on to attain prestigious positions in top firms around the globe, underscoring the program's exceptional reputation and effectiveness in preparing students for successful careers.

Here are some compelling reasons to study Quantitative Finance at NUS:

  • Global Reputation: NUS consistently ranks among the top universities worldwide, ensuring that your degree holds significant value in the global job market.
  • Diverse Community: Join a vibrant and multicultural student body, enhancing your global perspective and fostering lifelong connections.
  • Expert Faculty: Learn from renowned professors and industry leaders who are committed to your academic and professional success.
  • Cutting-edge Resources: Access state-of-the-art research facilities and high-tech labs, enabling you to engage in extensive practical learning and research.
  • Robust Career Support: Benefit from a well-established placement program and strong industry connections, providing you with invaluable internship and job opportunities.
  • Innovative Curriculum: Engage with a curriculum that blends theoretical knowledge with practical application, preparing you for the challenges of the finance industry.
  • Alumni Success: Join a network of successful graduates who have made significant impacts in the finance sector, providing inspiration and connections for your future career.

Admission to the MSc in Quantitative Finance program requires a recognized undergraduate degree, preferably with a strong foundation in mathematics, statistics, and finance. Additionally, international applicants must demonstrate proficiency in English through standardized tests such as the IELTS (minimum overall score of 6.0) or TOEFL (minimum total score of 85.0). While specific GRE requirements are currently unknown, candidates are encouraged to check for updates on the official admission page.

In conclusion, the MSc in Quantitative Finance at the National University of Singapore presents an unparalleled opportunity for aspiring finance professionals. With its rigorous curriculum, exceptional faculty, extensive research opportunities, and strong industry connections, the program is designed to cultivate the next generation of leaders in quantitative finance. Join NUS and embark on a transformative educational journey that will equip you with the skills and knowledge necessary to thrive in today’s dynamic financial landscape.

intake

Duration

21 Months

Ranking

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#32

US World and News Report

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#25

The World University Rankings

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#11

QS World University Rankings

Class Profile

Diversity

China:

10%

India:

5%

Others:

3%

Singapore:

75%

Malaysia:

4%

Indonesia:

3%

Eligibility Criteria

English Proficiency Tests

  • IELTS

    6

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  • TOEFL

    85

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FAQs

  • Admission to the MSc in Quantitative Finance program requires:

    • A recognized undergraduate degree, preferably with a strong foundation in mathematics, statistics, and finance.
    • For international applicants, proficiency in English must be demonstrated through standardized tests such as the IELTS (minimum overall score of 6.0) or TOEFL (minimum total score of 85.0).

    While specific GRE requirements are currently unknown, candidates are encouraged to check for updates on the official admission page.

  • The MSc in Quantitative Finance program is meticulously designed to cover essential areas of finance, mathematics, and statistical analysis. The curriculum includes:

    • Core concepts in finance, mathematics, and statistical analysis.
    • Key areas such as risk management, asset pricing, and advanced investment strategies.
    • Programming courses that introduce students to essential programming languages and tools commonly used in finance, such as Python and R.

    This structure ensures students gain both theoretical knowledge and practical application skills needed in the finance industry.

  • The teaching methodology in the MSc in Quantitative Finance program emphasizes:

    • Engagement with an interactive learning environment that fosters collaboration and critical thinking.
    • Practical exposure through hands-on projects, case studies, and research initiatives.
    • Insights from faculty members who are leading experts with substantial industry experience.

    This approach prepares students for the complexities of financial markets by allowing them to apply theoretical concepts in real-world scenarios.

  • Graduates of the MSc in Quantitative Finance program will find a wealth of career opportunities in various sectors, including:

    • Investment banking
    • Asset management
    • Risk management
    • Quantitative research roles

    The program equips students with the analytical skills and theoretical knowledge required to navigate modern finance, and many alumni have attained prestigious positions in top firms globally, reflecting the program's strong reputation.

  • The MSc in Quantitative Finance program provides abundant research opportunities, including:

    • Participation in groundbreaking research projects, often in collaboration with prominent financial institutions.
    • Access to state-of-the-art research facilities, including high-tech labs for quantitative analysis and financial modeling.

    This practical research experience is invaluable, enhancing students' resumes and equipping them with essential skills for their careers.

  • The program offers robust career support through:

    • Extensive industry connections that open doors to numerous internship opportunities.
    • Partnerships with leading financial institutions, providing students with practical experiences that enhance employability.

    These opportunities help students build a strong professional network that can be beneficial throughout their careers in finance.

  • Some compelling reasons to study Quantitative Finance at NUS include:

    • Global Reputation: NUS consistently ranks among the top universities worldwide.
    • Diverse Community: A vibrant and multicultural student body enhances global perspectives.
    • Expert Faculty: Learn from renowned professors and industry leaders.
    • Cutting-edge Resources: Access to state-of-the-art research facilities and high-tech labs.
    • Robust Career Support: A well-established placement program and strong industry connections.
    • Innovative Curriculum: Blends theoretical knowledge with practical application.
    • Alumni Success: Join a network of successful graduates who have made significant impacts in the finance sector.
  • The MSc in Quantitative Finance program at NUS stands out due to its:

    • Rigorous curriculum that bridges theoretical knowledge with practical application.
    • Exceptional faculty comprising leading experts with substantial industry experience.
    • Extensive research opportunities and state-of-the-art facilities.
    • Strong industry connections that facilitate internship and job opportunities.

    This combination prepares students to thrive in today’s dynamic financial landscape, making them highly sought after by employers.

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