Concentration in Quantitative Finance Program

Study mode:On campus Study type:Full-time Languages: English
Local:$ 5.5 k / program Foreign:$ 5.5 k / program Deadline: Jul 10, 2025
StudyQA ranking:9761 Duration:6 months

 The Advanced Diploma in Financial Management * helps the student develop a solid foundation in financial management subjects and a global mindset for financial environment, the greatest asset and most critical skill in business today. This one year Diploma prepares our students to be leaders who possess a deep knowledge of the international finance environment.This Program includes a capstone course that stresses students’ experiences and learning more than course content. The In-Company Integrative Project (ICIP) highlights student-centered learning, attentive listening, experiential learning, direction following, collaborative and interactive learning, keen observation, communication skills, as well as critical and analytic thinking. The major requirement of the course is a research project that focuses on the company’s financial resources, and company’s financial managerial culture. Upon successful completion of the program, students will receive a Certificate of completion in "Advanced Diploma in Financial Management" *. 
The one year Advanced Diploma in Financial Management is ideal for:

Foreign students looking to expand their horizons by studying in the US

Domestic students looking to receive a hands-on business education

Finance Course

Hours

Total Certificate Hours 300

Quantitative Methods 30

Advanced Derivative Securities and Structured Products 30

Fixed Income Derivatives 30

Model Risk 30

Securitization 30

C-programming 30

Numerical Methods 30

Stochastic Calculus 30

Value-at-Risk 30

Econometric Methods & Volatility 30

 

Program Specific Requirements:

Curriculum Specific Graduation Requirements: 3.0 GPA ( B average )

Total Instructional Hours:  1,440 hours  

Required TOEFL Score- 450

International Students Requirements by SEVIS have 120 hours/ quarter for Integrative Project ( concentrations *):  480 hours


Want to improve your English level for admission?

Prepare for the program requirements with English Online by the British Council.

  • ✔️ Flexible study schedule
  • ✔️ Experienced teachers
  • ✔️ Certificate upon completion

📘 Recommended for students with an IELTS level of 6.0 or below.

Enroll in the course

The Financing studies of the Concentration in Quantitative Finance Program at the Manhattan Institute of Management encompass a comprehensive curriculum designed to equip students with the necessary skills and knowledge to excel in the financial industry. The program emphasizes practical applications of financial theories, quantitative analysis, and investment strategies, providing a solid foundation for careers in asset management, risk management, financial analysis, and quantitative research.

Students gain expertise in core areas such as investment analysis, portfolio management, financial modeling, and derivative securities. The program also covers advanced topics such as algorithmic trading, statistical analysis, and financial engineering, ensuring that graduates are well-prepared to navigate the complexities of modern financial markets. Special attention is given to developing strong analytical skills, proficiency in financial software, and understanding regulatory and ethical considerations in finance.

The program offers courses that delve into the mechanics of financial markets, valuation techniques, and macroeconomic factors influencing investments. Through case studies, simulations, and internships, students acquire practical experience in making sound financial decisions under various market conditions. The curriculum is regularly updated to reflect current trends, technological advancements, and regulatory changes within the financial sector.

Funding for students may be available through various scholarships and financial aid programs offered by the institution, aimed at supporting talented individuals pursuing careers in finance. The program also encourages industry partnerships and guest lectures from financial professionals, providing students with insights into real-world challenges and opportunities in quantitative finance. Career services and networking events facilitate connections with potential employers, enhancing job placement prospects upon graduation. Overall, the financing component of this program aims to develop well-rounded finance professionals capable of applying quantitative techniques to solve complex financial problems and contribute to the growth and stability of the finance industry.

The Concentration in Quantitative Finance Program at the Manhattan Institute of Management is designed to equip students with a comprehensive understanding of the mathematical and statistical models used in modern finance. This program provides students with the skills necessary to analyze financial markets, develop trading strategies, and manage financial risk using advanced quantitative methods. The curriculum emphasizes core principles of financial theory, quantitative analysis, and computational techniques essential for careers in investment banking, asset management, financial consulting, and risk management. Students typically engage in coursework that covers topics such as financial mathematics, stochastic processes, derivatives pricing, econometrics, and programming languages like Python and R, which are instrumental in data analysis and model implementation. The program also focuses on practical applications, encouraging students to undertake projects, internships, and case studies that mirror real-world financial problems. Through a combination of classroom instruction and experiential learning, students develop both theoretical knowledge and practical skills necessary to excel in fast-paced financial environments. Admission requirements often include a strong background in mathematics, statistics, and computer science, reflecting the program's emphasis on quantitative methods. The faculty consists of experienced professionals and scholars in finance, mathematics, and economics who provide mentorship and industry insights. Graduates of this concentration have achieved placement in competitive roles within financial firms, hedge funds, and governmental financial agencies. The program aims to prepare students for the evolving demands of the finance industry by fostering analytical thinking, quantitative proficiency, and ethical practices in financial decision-making. Furthermore, the curriculum is periodically reviewed and updated to align with current industry standards and technological advancements, ensuring graduates are well-equipped with relevant knowledge and skills. Overall, the Concentration in Quantitative Finance at the Manhattan Institute of Management offers a rigorous, comprehensive education tailored to aspiring finance professionals seeking expertise in quantitative analysis and computational finance.

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Study mode:On campus Languages: English
Local:$ 48.9 k / Year(s) Foreign:$ 48.9 k / Year(s)
Deadline: Dec 31, 2025 9 place StudyQA ranking: 8369