
University of Denver

Colorado
,United States

Program Name
Master of Science in Applied Quantitative Finance

Deadline
October 15th, 2023
Overview

The Master of Science in Applied Quantitative Finance at the University of Denver is a cutting-edge program designed to equip students with the essential skills and knowledge needed to excel in the dynamic field of finance. This innovative curriculum emphasizes not only the theoretical aspects of finance but also the quantitative methods required for making data-driven decisions in today’s complex financial markets. The program spans over a duration of ten months, providing a comprehensive and intensive learning experience that includes both coursework and practical applications. The focus on applied finance allows students to seamlessly transition from classroom theory to real-world practice.
The curriculum is meticulously structured to cover a broad range of topics pertinent to finance and investment, including risk management, financial modeling, derivatives, corporate finance, and econometrics. Core courses such as Financial Markets and Institutions, Investment Analysis, and Quantitative Risk Management are complemented by elective courses that allow students to tailor their education according to their interests and career aspirations. This flexibility ensures that students emerge not only with a strong foundational knowledge but also with specialized skills that meet the demands of the finance industry.
Students in the program benefit significantly from the expertise of the faculty at the Daniels College of Business, which comprises leaders in finance and quantitative analysis. Faculty members employ engaging teaching methodologies that integrate hands-on learning, case studies, and collaborative projects to foster a robust understanding of finance concepts. The faculty’s commitment to student success is evident in their approach to mentorship, encouraging students to engage in research opportunities and learn from real-world financial challenges.
The University of Denver recognizes the importance of research in the field of finance, providing students with access to exceptional resources and opportunities for collaboration. Students can engage in various research initiatives, leveraging state-of-the-art labs and technology that facilitate extensive financial analysis and modeling. These resources not only enhance the learning experience but also prepare students for future roles that require high-level quantitative skills and analytical thinking.
Networking and industry connections are crucial aspects of the Master of Science in Applied Quantitative Finance program. The University of Denver collaborates with leading financial institutions and organizations, providing students with numerous internship opportunities. These internships enable students to gain invaluable experience, make professional connections, and improve their employability upon graduation. The program’s strong focus on practical application ensures that students are well-prepared to enter the competitive job market immediately after completing their degree.
Graduates of the Applied Quantitative Finance program are well-positioned for a variety of exciting career paths. The program prepares students for roles such as financial analyst, risk manager, investment banker, and quantitative researcher, among others. With the finance industry’s reliance on quantitative methods and data analysis, graduates possess a significant competitive advantage. Alumni of the program have successfully secured positions with top financial firms, investment banks, and consulting companies, often attributing their success to the comprehensive training and industry exposure received during their studies.
For prospective students, the University of Denver offers an inclusive environment that celebrates diversity, particularly among its international student population. The Daniels College of Business hosts a vibrant community, where students from various backgrounds collaborate and share insights, enriching the learning experience. This diversity not only enhances classroom discussions but also prepares students for global careers in the financial sector.
In addition to a robust curriculum and practical learning experiences, the University of Denver is committed to ensuring that students receive the support they need throughout their academic journey. The admissions process is designed to be transparent and accessible, with clear requirements for prospective students. Applicants are encouraged to submit a completed application by the October 15th deadline, along with a $100 application fee. While GRE requirements are currently unknown, international applicants must demonstrate proficiency in English through standardized tests such as the IELTS or TOEFL, ensuring that all students can thrive in an academic environment.
Why Study Applied Quantitative Finance at University of Denver? Here are some compelling reasons to consider this program:
- A comprehensive curriculum that combines theoretical and practical knowledge to equip you with essential finance skills.
- Access to a diverse cohort of international students, promoting a global perspective in finance.
- Engagement in meaningful research opportunities under the guidance of experienced faculty members.
- Strong industry connections that facilitate internships and job placements, enhancing career readiness.
- A supportive learning environment that prioritizes student success, with resources readily available to help you thrive.
- Alumni success stories that highlight the program’s effectiveness in launching rewarding careers in finance.
In conclusion, the Master of Science in Applied Quantitative Finance at the University of Denver stands out as an exceptional choice for those looking to deepen their understanding of finance while gaining practical skills necessary for a successful career. The combination of a rigorous curriculum, experienced faculty, research opportunities, and strong industry ties creates an unparalleled educational experience that prepares students for the future of finance. With a commitment to fostering innovation and analytical thinking, this program empowers students to become leaders in the finance industry, equipped to tackle the challenges of a rapidly evolving global market.

Duration
10 Months
Ranking
#849
US World and News Report
Class Profile
Diversity
Others:
13%New York:
10%United States:
74%International:
26%California:
17%Texas:
12%Illinois:
8%Eligibility Criteria
English Proficiency Tests
IELTS
6.5
TOEFL
80
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: 100
Application Deadlines
Standard Deadline | |
---|---|
Fall | Oct 15, 2023 |
Fees and Funding

Tuition Fees
$72,540 / year
FAQs
The admissions process for the Master of Science in Applied Quantitative Finance at the University of Denver is designed to be transparent and accessible. Prospective students must submit a completed application by the October 15th deadline, along with a $100 application fee. While specific GRE requirements are currently unknown, international applicants must demonstrate proficiency in English through standardized tests such as the IELTS or TOEFL, ensuring that all students can thrive in an academic environment.
The program spans over a duration of ten months and provides a comprehensive and intensive learning experience that combines coursework with practical applications. The curriculum covers a broad range of topics pertinent to finance and investment, including risk management, financial modeling, derivatives, corporate finance, and econometrics. Core courses such as Financial Markets and Institutions, Investment Analysis, and Quantitative Risk Management are complemented by elective courses that allow students to tailor their education according to their interests and career aspirations.
Faculty members at the Daniels College of Business utilize engaging teaching methodologies that integrate hands-on learning, case studies, and collaborative projects. This approach fosters a robust understanding of finance concepts and emphasizes the application of theoretical knowledge in practical scenarios. The faculty's commitment to student success is evident through their mentoring efforts, encouraging students to engage in research opportunities and tackle real-world financial challenges.
Graduates of the Master of Science in Applied Quantitative Finance program are well-positioned for a variety of exciting career paths. The program prepares students for roles such as:
- Financial Analyst
- Risk Manager
- Investment Banker
- Quantitative Researcher
Due to the finance industry's reliance on quantitative methods and data analysis, graduates possess a significant competitive advantage. Alumni have successfully secured positions with top financial firms, investment banks, and consulting companies, often attributing their success to the comprehensive training and industry exposure received during their studies.
The University of Denver's Master of Science in Applied Quantitative Finance program stands out due to several unique aspects, including:
- A comprehensive curriculum that combines theoretical and practical knowledge.
- Access to a diverse cohort of international students, promoting a global perspective in finance.
- Engagement in meaningful research opportunities under the guidance of experienced faculty members.
- Strong industry connections that facilitate internships and job placements.
- A supportive learning environment that prioritizes student success.
- Success stories from alumni that highlight the program's effectiveness in launching rewarding careers.
The program emphasizes applied finance, allowing students to seamlessly transition from classroom theory to real-world practice. Students benefit from strong industry connections, which provide numerous internship opportunities. These internships enable students to gain invaluable experience, make professional connections, and improve their employability upon graduation. Furthermore, the access to exceptional research resources and technology facilitates extensive financial analysis and modeling, enhancing the practical learning experience.
The University of Denver recognizes the importance of research in the field of finance and provides students with access to exceptional resources for collaboration. Students can engage in various research initiatives utilizing state-of-the-art labs and technology that facilitate extensive financial analysis and modeling. These resources enhance the overall learning experience and prepare students for future roles that require high-level quantitative skills and analytical thinking.
The University of Denver fosters an inclusive environment that celebrates diversity, particularly among its international student population. The Daniels College of Business hosts a vibrant community where students from various backgrounds collaborate and share insights, enriching the learning experience. This diversity not only enhances classroom discussions but also prepares students for global careers in the financial sector.
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