Mathematics - Quantitative Finance & Risk Management - Master [2 Years]
$60,548 /Yr On-campus full_time

Master of Science [M.S] Mathematics - Quantitative Finance & Risk Management

  • The Quantitative Finance and Risk Management Program is open to direct admission for those who have a bachelor’s degree. This a freestanding three-term MS program.
  • The Accelerated Master’s Degree Program (AMDP) is for currently- enrolled University of Michigan undergraduates who wish to pursue a 5-year combined BS/MS (in Quantitative Finance and Risk Management). While it follows a similar curriculum as the Quantitative Finance and Risk Management Program, there are additional requirements.

Tution & Application Fees

Year Year 1 Year 2 Year 1 Year 2
Tuition Fees $52456 $52456 $52456 $52456
Books and supply $1242 $1242 $1242 $1242
Miscellaneous expenses $6850 $6850 $6850 $6850
Total Fees $60548 $60548 $60548 $60548

Examinations

Exam Type Exam Name Score Out of Score Exam Level
IELTS International English Language Testing System 6.5 9 3
TOEFL Test of English as a Foreign Language 88 120 3

  • MELAB: 80-85 range with section scores of at least 80
  • TOEFL (PBT): 570-600 range with section scores of at least 57
  • TOEFL (iBT): 88-100 range with section scores of at least 23 in listening and reading, and at least 21 in speaking and writing
  • IELTS: 6.5-7.0 range with section scores of at least 6.5