Testimonials
![]() Principal Associate, Quant Analysis, Capital One, Chicago Master of Financial Mathematics Class of 2016 Model risk management was my favorite area when I was a student in the MFM. I was interested because of the challenging and level of mathematical and analytical thinking it involves. Also it so happened that we have some top tier professors in this area in our program. |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Master of Financial Mathematics |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Master of Financial Mathematics |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Master of Financial Mathematics |
![]() Master of Financial Mathematics |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Master of Financial Mathematics |
![]() Actuarial Science |
![]() Actuarial Science |
![]() Actuarial Science |