国际学生入学条件
In addition to the general requirements for admission to the Graduate School, the following are required for admission to the Master of Science in Mathematical Finance program.
A baccalaureate degree in a related field with a minimum GPA of 3.0 on a 4.0 scale.
Acceptable scores on each portion of the GRE or GMAT.
For applicants from non-English speaking countries, a language requirement score of 557 on the TOEFL or 220 on the new computer-based TOEFL or 78% on the MELAB. Non-native speakers of English, may, at the discretion of either the Graduate School or the Program Committee for the MS in Mathematical Finance, be required to enroll in English as a Second Language (ESL) courses at the English Language Training Institute.
Specific coursework equivalent to the following: introductory course in the Theory of Finance, a standard two-semester sequence in Calculus, Linear algebra, and at least one upper-level course in Probability and Statistics. Students are strongly recommended to be familiar with at least one programming language, most preferably C or C++. Students lacking this coursework may be admitted subject to the condition that they satisfactorily complete such coursework during the first two semesters that they are enrolled in the program and prior to their taking any program courses where prerequisites are missing.
For non-native English language speakers: official and satisfactory scores on the English language proficiency scores on the Test of English as a Foreign Language (TOEFL) or the International English Language Testing System (IELTS) are required. A minimum score of 83 on the Internet-based TOEFL or a minimum overall band score of 6.5 on the IELTS is required for admissions consideration.
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IDP—雅思考试联合主办方
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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:83
- 托福笔试总分:557
- 其他语言考试:DuoLingo English Test, the minimum proficiency score required is 115
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
数学金融理学硕士课程旨在培养学生从事金融职业的准备。金融机构,投资银行和大宗商品公司越来越依赖高度复杂的数学模型来识别,衡量和管理风险。这些模型要求在金融和数学方面具有广泛技能的专业人员。全国排名最高的数学金融课程是Belk商学院金融与经济系和艺术与科学学院数学与统计系的联合课程。学生从三个部门的所有课程中选修一门综合课程,并可以使用选修课来根据自己的特定兴趣定制课程。数学财务计划是指定的STEM,允许总共29个月的OPT。
The Master of Science in Mathematical Finance program is designed to prepare students to pursue careers in quantitative finance. Increasingly firms of all types, but especially financial institutions, investment banks, and commodities firms, rely upon highly sophisticated mathematical models to identify, measure, and manage risk. The advent of these models triggered the emergence of a new discipline, Mathematical Finance. This discipline, sometimes also referred to as ''financial engineering,'' ''computational finance,'' or ''quantitative finance,'' requires professionals with extensive skills in both finance and mathematics.<br>The Mathematical Finance program at UNC Charlotte is a joint program of the Departments of Finance and Economics in the Belk College of Business and the Department of Mathematics and Statistics in the College of Liberal Arts & Sciences. Students take courses from all three departments in an integrated curriculum. Students may use electives to tailor the program to their specific interests.
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