Master of Arts (Thesis)
The University of Canterbury (UC) in New Zealand is renowned for its academic excellenc...
Christchurch
INTAKE: February
The Master of Financial Engineering program at the University of Canterbury (UC) is designed to equip students with a comprehensive understanding of financial markets, quantitative methods, and engineering principles to address complex financial challenges.
Curriculum: The program's curriculum covers a blend of finance, mathematics, statistics, and computational techniques. Students study topics such as derivatives, risk management, quantitative modeling, financial analysis, and machine learning applied to finance.
Research Focus: UC emphasizes a strong research focus within the program. Students engage in in-depth research projects exploring financial models, market dynamics, algorithmic trading, and risk assessment, developing critical skills in financial analysis and decision-making.
Industry Engagement: The program fosters industry engagement through collaborations with financial institutions, guest lectures by industry experts, internships, and real-world projects. Students gain practical exposure and insights into industry practices and trends.
Global Perspective: UC integrates a global perspective into the curriculum, discussing international financial markets, regulations, and emerging trends. Students analyze global financial systems, preparing them to navigate complexities in a diverse, interconnected world.
Christchurch
IELTS 6.5
NZD 63300
Postgraduate Entry Requirements
Academic Qualifications: Applicants for postgraduate programs usually need a bachelor's degree or an equivalent qualification from a recognized institution. The entry requirement may specify a minimum score of 50% or higher in the previous academic degree.
English Language Proficiency:
Students must provide:
Work experience: Some postgraduate courses may require relevant work experience in the field.
It is important to note that meeting the minimum entry requirements does not guarantee admission, as the university considers factors such as availability of places and competition for the program. Additionally, some courses may have higher entry requirements or additional selection criteria, such as interviews or portfolio submissions.
The University of Canterbury is dedicated to providing support to international students through various scholarship programs designed to recognize academic excellence, diversity, and specific areas of achievement. These scholarships aim to ease the financial burden and promote educational opportunities for talented individuals from around the world.
UC International First Year Scholarships: Geared towards high-achieving international students beginning their first year of study at UC. These scholarships acknowledge exceptional academic performance and assist students in their initial year of education at the university.
UC Master's Scholarships: For high-achieving international students pursuing Master's degrees at UC. These scholarships provide financial support to assist students in their postgraduate studies and promote research excellence.
UC Doctoral Scholarships: Aimed at international students undertaking Ph.D. studies at UC. These scholarships offer financial assistance and opportunities for research excellence in various fields of study.
Specific Field Scholarships: Additionally, UC offers specialized scholarships catering to students entering specific fields or disciplines. These scholarships encourage innovation and excellence in targeted areas of study.
Graduates of the Master of Financial Engineering program at the University of Canterbury (UC) possess specialized skills that open doors to various promising career paths in the finance and investment sectors.
Quantitative Analyst: Alumni often pursue roles as quantitative analysts, utilizing their expertise in mathematical modeling and financial data analysis to develop and implement quantitative strategies for financial products or risk management.
Risk Manager: Graduates may opt for careers as risk managers, assessing and mitigating financial risks within financial institutions, investment firms, or corporate entities, ensuring compliance with regulatory standards.
Derivatives Analyst/Trader: Some alumni choose roles as derivatives analysts or traders, analyzing derivative products, assessing market trends, and executing trades based on market insights and quantitative models.
Investment Analyst/Portfolio Manager: Graduates may work as investment analysts or portfolio managers, conducting research, managing investment portfolios, and making strategic investment decisions for funds or asset management firms.
Financial Engineer: Some alumni pursue careers as financial engineers, applying engineering principles and quantitative methods to design financial products or optimize trading strategies.