QS Rank:

585

Singapore Management University

Singapore
,Singapore

Program Name
MSc in Quantitative Finance
Overview

The MSc in Quantitative Finance at Singapore Management University is meticulously designed to equip students with the advanced skills necessary for a successful career in finance. This program is an integral part of the acclaimed Lee Kong Chian School of Business, which is renowned for its commitment to academic excellence and innovative teaching methodologies. Over the course of 12 months, students delve deep into the intricacies of financial markets, quantitative methods, and risk management, preparing them for the complexities of the financial landscape.
The curriculum is structured to blend rigorous theoretical grounding with practical applications, ensuring that graduates are not only well-versed in quantitative models but also proficient in their application within real-world scenarios. Core courses include Quantitative Research Methods, Financial Derivatives, and Portfolio Management, all of which are designed to enhance analytical and critical thinking skills. Students also have the opportunity to select elective courses that align with their career aspirations, such as Financial Machine Learning and Stochastic Calculus for Finance.
The faculty at the Lee Kong Chian School of Business comprises leading experts in the field of finance, many of whom hold esteemed academic positions and have significant industry experience. Their diverse expertise spans across quantitative finance, risk management, and financial engineering, ensuring students receive guidance from those who are at the forefront of research and practice. The teaching methodology emphasizes interactive learning, employing case studies, simulations, and collaborative projects to foster a rich learning environment.
In addition to the rigorous academic curriculum, students are encouraged to engage in extensive research opportunities. The Singapore Management University provides state-of-the-art facilities, including high-end laboratories and access to financial databases, which are pivotal for research work. Students can also collaborate with faculty on innovative projects, furthering their expertise and contributing to the body of knowledge in finance. This hands-on approach not only enhances learning but also prepares students for the demands of the finance industry.
Moreover, the program boasts strong industry connections, offering students numerous internship possibilities with leading financial institutions. These internships provide invaluable real-world experience and often lead to job placements upon graduation. The MSc in Quantitative Finance is highly regarded by employers, and graduates find themselves well-prepared for diverse roles in financial analysis, risk management, and quantitative research.
The career pathways available to graduates of this program are extensive. Many alumni have secured positions as quantitative analysts, risk managers, and financial consultants at prestigious organizations globally. The program's strong emphasis on employability and professional development is reflected in the impressive career outcomes of its graduates, who frequently achieve high starting salaries and rapid career progression.
Furthermore, the success stories of alumni from the program illustrate its transformative impact. Graduates have not only excelled in their respective fields but have also contributed positively to society through their work in finance. Testimonials from former students highlight the program's role in shaping their careers and equipping them with the necessary skills to navigate the complexities of the financial world.
There are several unique features that distinguish the MSc in Quantitative Finance at Singapore Management University. The program's blend of rigorous academic training and practical, hands-on experiences makes it particularly appealing to prospective students. Additionally, the diverse international student body fosters a rich cultural exchange, enhancing the overall educational experience. The program also places a strong emphasis on ethical finance, preparing students to address the challenges faced by the industry today.
If you’re considering enhancing your career prospects in finance, the MSc in Quantitative Finance offers a compelling option. With a curriculum that encompasses both theoretical knowledge and practical skills, this program is ideal for aspiring finance professionals.
Why Study MSc in Quantitative Finance at Singapore Management University?
- A globally recognized institution with a strong academic reputation, ensuring a quality education that is respected worldwide.
- Access to renowned faculty members who are leaders in research and practical applications within the finance sector.
- State-of-the-art facilities and high-tech laboratories that support advanced research opportunities and practical experience.
- Strong connections with the finance industry, providing students with internship opportunities and networking possibilities that can lead to job offers.
- A diverse community of international students, enhancing cultural understanding and collaboration within the learning environment.
- A curriculum that combines quantitative methods with practical finance skills, preparing graduates for a variety of roles in the financial sector.
- Opportunities to engage in groundbreaking research, contributing to the field of finance while gaining valuable experience.
To qualify for the MSc in Quantitative Finance, applicants are generally required to possess a bachelor’s degree in finance, mathematics, statistics, or a related field. Additionally, proficiency in English is mandatory, with acceptable scores from recognized tests such as IELTS (minimum score of 7.0) or TOEFL (minimum score of 90). Candidates are encouraged to present a strong academic record and relevant work experience to enhance their application.
In conclusion, the MSc in Quantitative Finance at Singapore Management University stands out as a premier choice for students aiming to excel in the financial domain. With its comprehensive curriculum, esteemed faculty, and strong industry ties, this program is designed to foster the next generation of finance leaders.

Duration
12 Months
Ranking
#585
QS World University Rankings
Class Profile
Diversity
Others:
15%China:
15%India:
10%Singapore:
45%Malaysia:
5%Indonesia:
4%Eligibility Criteria
English Proficiency Tests
IELTS
7
TOEFL
90
FAQs
To qualify for the MSc in Quantitative Finance, applicants generally need to meet the following requirements:
- Possess a bachelor’s degree in finance, mathematics, statistics, or a related field.
- Demonstrate proficiency in English, with acceptable scores from recognized tests such as:
- IELTS: Minimum score of 7.0
- TOEFL: Minimum score of 90
- Present a strong academic record and relevant work experience to enhance the application.
The MSc in Quantitative Finance program is structured over a duration of 12 months and blends rigorous theoretical grounding with practical applications. The curriculum includes:
- Core courses such as Quantitative Research Methods, Financial Derivatives, and Portfolio Management.
- Elective courses that allow students to tailor their learning to their career aspirations, including options like Financial Machine Learning and Stochastic Calculus for Finance.
This structure ensures that graduates are well-prepared for the complexities of the financial landscape, equipped with both knowledge and practical skills.
The teaching methodology in the MSc in Quantitative Finance emphasizes interactive learning. Students engage in:
- Case studies that provide real-world context to theoretical concepts.
- Simulations that allow for practical application of financial models.
- Collaborative projects that promote teamwork and problem-solving skills.
This rich learning environment is designed to enhance student engagement and understanding of complex financial concepts.
Graduates of the MSc in Quantitative Finance have extensive career pathways available to them. Many alumni have secured positions in:
- Quantitative analysis
- Risk management
- Financial consulting
The program is highly regarded by employers, and graduates often experience:
- High starting salaries
- Rapid career progression
This strong emphasis on employability contributes to impressive career outcomes, making the program an attractive option for aspiring finance professionals.
The MSc in Quantitative Finance at Singapore Management University features several unique aspects, including:
- A blend of rigorous academic training with practical, hands-on experiences, enhancing the learning process.
- A diverse international student body that fosters cultural exchange and collaboration.
- A strong emphasis on ethical finance, preparing students to address contemporary challenges in the finance industry.
These elements contribute to a distinctive educational experience that sets the program apart from others.
Some key highlights of the MSc in Quantitative Finance program include:
- A globally recognized institution with a strong academic reputation.
- Access to renowned faculty members who are leaders in finance research and practice.
- State-of-the-art facilities and high-tech laboratories that support advanced research.
- Strong industry connections, offering numerous internship opportunities that can lead to job offers.
- Opportunities for groundbreaking research and collaboration with faculty.
These highlights make the program particularly appealing to prospective students.
The MSc in Quantitative Finance program at Singapore Management University encourages extensive research opportunities through:
- Access to state-of-the-art facilities, including high-end laboratories.
- Access to financial databases that are crucial for research work.
- Collaboration with faculty on innovative projects, allowing students to contribute to the field of finance.
This hands-on approach not only enhances learning but also prepares students for industry demands.
The faculty at the Lee Kong Chian School of Business plays a crucial role in the MSc in Quantitative Finance program. They are comprised of:
- Leading experts in finance with esteemed academic positions.
- Professionals with significant industry experience.
Their diverse expertise across quantitative finance, risk management, and financial engineering ensures that students receive guidance from individuals who are at the forefront of research and practice.
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