Columbia University Master's Program in the Mathematics of Finance

Columbia University invites qualified candidates to apply to its master's program in the Mathematics of Finance. The program concentrates on the advanced quantitative methods required for modern finance and draws on the diverse strengths of Columbia in stochastice processes, numerical methods and application to finance. The program attracts students with degrees in mathematics, physics, engineering, or computer science, as well as students with backgrounds in business or economics and with a solid mathematics foundation.

The application deadline is May 31, 2013. For detailed information, including application procedures, see http://www.math.columbia.edu/mafn.