M.S. in Mathematical Finance

Firms of all types - but especially financial institutions - rely on highly sophisticated mathematical models to identify, measure, and manage risk. UNC Charlotte’s M.S. in Mathematical Finance program trains you to connect your quantitative skills to the world of finance.

  • UNC Charlotte’s Math Finance program is ranked No. 20 in the nation by The Financial Engineer and No. 23 in the nation by QuantNet.
  • The program is designed for a highly specialized talent pool to manage the increasingly complex financial services industry.
  • Graduates work in investment banking, financial modeling, software development, risk management, trading desk support, and portfolio management.
  • Our graduates enjoy an average starting salary of $83,000 per year and are well-connected in the nation's second largest financial city.

To learn more about UNC Charlotte’s M.S. in Mathematical Finance, please click the request more information link on your right and we will follow up with you. 


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