Advance Your Quantitative Skills at Michigan

Meet the Next Generation of Quants

Welcome to the Quantitative Finance and Risk Management program at the University of Michigan, offered jointly by the Department of Mathematics and Department of Statistics. Our interdisciplinary master’s degree equips students from diverse global institutions with the expertise to tackle real-world financial challenges. Graduates emerge as skilled quantitative analysts, financial engineers, risk managers, and more, prepared to excel in today’s dynamic financial landscape.

An Intense Focus On

Mathematical and Statistical Methods

In the Spotlight