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The program that puts you first
Learn why MFin is right for you
Finance is all around us. It is at the core of every successful business. We need finance to manage and grow assets, generate funds, and provide strategic direction for how companies will exceed their goals. In the increasingly competitive and technical world of business, companies are actively seeking leaders who demonstrate a passion and affinity for finance to keep their companies accelerating forward.
The Master of Finance program at DeGroote will not only challenge how you think about finance but will also help you launch your career in this fast-paced, competitive sector. A career in finance means something different to each of us – let us help you discover what it means to you.
Global Association of Risk Professionals
The DeGroote MFin Program is a proud partner of the Global Association of Risk Professionals (GARP).
While our MFin program is not exclusively a risk management program, our candidate profile, along with several of our course offerings, provides the basis of a strong financial risk management education. According to GARP, each of their partnership institutions “represents the best in financial education around the world.”
What to Expect
The DeGroote MFin Program is a proud partner of the Global Association of Risk Professionals (GARP).
While our MFin program is not exclusively a risk management program, our candidate profile, along with several of our course offerings, provides the basis of a strong financial risk management education. According to GARP, each of their partnership institutions “represents the best in financial education around the world.”
What you will learn
- Essential skills and knowledge in economics, accounting, and statistics.
- How to apply knowledge to core problems in modern finance.
- Practical experience working with programs such as Python, R., and Matlab.
- Topics of interest and relevance to your anticipated career through elective courses.
Key Topics of Study
- Capital structure and cost of capital
- Capital asset pricing models
- Regression analysis
- GARCH and stochastic volatility models
- Fixed-income securities and their markets
- Stock price discovery process and return anomalies
- Black-Scholes-Merton option pricing model
- Monte Carlo simulation
- Finite difference methods
- Forecasting and optimization in finance
- Derivatives pricing and hedging strategies
- Arbitrage pricing, Fama-French models, APT
- Hull-White model, HJM forward rate model, LIBOR market models
- Credit risk modeling
- Risk budgeting and optimization
- Value-at-risk and expected shortfall
Stats About our September 2020 and January 2021 Cohorts
Academic Degrees
77 %
Business
12 %
Science
6 %
Arts
4 %
Engineering
1 %
Mathematics
Gender Ratio
68 %
Female
32 %
Male
Region
Bangladesh
Canada
China
India
Pakistan
Taiwan
Average GMAT Score
655
Thinking About Applying?
If you’re interested in applying to the Master of Finance program, learn more about our application requirements.
Apply NowFeel free to download our brochure to learn more and see if our program is the best fit for you!
SEPTEMBER 2024 APPLICATION DEADLINES |
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Our September 2024 application will open on October 1, 2023. Please review the application deadlines below. |
Round 1 December 15, 2023 |
Round 2 March 14, 2024 |
Round 3 (Domestic Only) April 30, 2024 |