国际学生入学条件
Transcripts (in English) from all colleges and universities attended. All unofficial copies of transcripts and scores can be uploaded to your online application for S&T to review. Upon arrival on campus, you must request that an official copy of your transcript(s) to be sent to us directly from your previous university's registrar's office and all official scores reported directly from the respective testing agency. Once we receive the official documents, we will verify them. If there are any discrepancies between the unofficial documents you submitted, Missouri S&T will withdraw your admission and you will not be allowed to apply to S&T in the future.
A statement of purpose
A resume or curriculum vitae
Test Score(s):
GRE and/or GMAT test scores.S&T's GRE Test Center Code is 6876 / GMAT test code is RWQ-TL-82
TOEFL: 80, IELTS: 6.5,
B.S. in engineering or a physical science
Undergraduate courses: Calculus Series (I, II, III), Differential Equations or Linear Algebra, Statistics, Physics or Chemistry, Engineering Economy
GPA: Regular status: 2.75 cumulative
All international applicants must demonstrate sufficient command of English to successfully pursue work at the Missouri University of Science and Technology. Minimum English proficiency test score requirements are 80 for TOEFL, 6.5 for IELTS, 58 for PTE, or 115 for Duolingo.
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雅思考试总分
6.5
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雅思考试指南
- 雅思总分:6.5
- 托福网考总分:80
- 托福笔试总分:160
- 其他语言考试:PTE - 58
CRICOS代码:
申请截止日期: 请与IDP顾问联系以获取详细信息。
课程简介
金融工程证书课程包括以下四个课程,它们是工程管理和系统工程中常规MS和PhD学位课程的一部分。学生将负责课程指导老师确定的先决知识,并应已参加EMGT 5210(经济决策分析),EMGT 5202(财务决策),SysEng 6103(系统工程经济学分析)或同等的金融概论和/或工程经济学课程,作为证书课程的前提条件。
The financial engineering certificate program aims to equip students with a set of tools that will help them meet the standards of the Global Association of Risk Professionals (GARP) and the Professional Risk Managers International Association (PRMIA) certifications. While being separate organizations, both GARP and PRMIA have become the standards in financial engineering and financial risk management, due to their similar knowledge of requirements for certification.<br><br>Certificate topics will help prepare students to take the GARP Financial Risk Managers (FRM) exam and/or the PRMIA Professional Risk Managers (PRM) exam. Both exams are set around topics in financial theory, financial markets and financial instruments, market risk measures, quantitative analysis, mathematical foundations of risk management, financial derivatives for risk reduction, risk management best practices, operational risk, market risk, credit risk, case studies, ethics, and governance. The certificate courses will provide a strong foundation in these areas.
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