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5 Master's degrees in Financial Mathematics in North Carolina, United States
Mathematical Finance and International Business Dual Degree
The Mathematical Finance and International Business Dual Degree program of The University of North Carolina at Charlotte provides a balanced approach to broadening your understanding of financial modeling. As a student in the program, you’ll gain a solid background in finance while using your mathematical skills to identify, measure and manage risk.
Mathematical Finance and Banking and Finance Dual Degree
The Mathematical Finance and Banking and Finance Dual Degree program of The University of North Carolina at Charlotte provides a balanced approach to broadening your understanding of financial modeling. As a student in the program, you’ll gain a solid background in finance while using your mathematical skills to identify, measure and manage risk.
Financial Mathematics
The Master in Financial Mathematics at North Carolina State University is known for rigorous training in the core areas of probability, statistics, modeling, investment theory, stochastic processes, and economics. The depth of understanding prepares students to respond to today’s rapidly evolving, world-wide economic and financial landscape.
Mathematical Finance and Economics Dual Degree
The Mathematical Finance and Economics Dual Degree program of The University of North Carolina at Charlotte provides a balanced approach to broadening your understanding of financial modeling. As a student in the program, you’ll gain a solid background in finance while using your mathematical skills to identify, measure and manage risk.
Mathematical Finance and Business Administration Dual Degree
The Mathematical Finance and Business Administration Dual Degree program of The University of North Carolina at Charlotte provides a balanced approach to broadening your understanding of financial modeling. As a student in the program, you’ll gain a solid background in finance while using your mathematical skills to identify, measure and manage risk.