Are you a finance professional looking to progress your career pathways in quantitative finance? This double degree grows your understanding of global financial markets and investment – along with your specialist skills in financial modelling, forecasting, big data and analytics giving you a unique edge in investment banking, portfolio management, risk management and quantitative trading and research.
Over the course of this two-year double degree, you’ll advance your training in econometrics and quantitative analysis to solve finance and economic challenges. This includes building on your ability to critically analyse, solve problems and develop innovative solutions to a range of contemporary business issues – especially those that influence the finance industry.
Extra Notes
Entry Requirements
An Australian bachelor degree (or equivalent) with a major or minor* in finance with at least a high credit (65%) average or equivalent Grade Point Average (GPA) and must have passed a 1st year statistics or mathematics unit or equivalent. OR An Australian bachelor degree (or equivalent) and having passed the level I CFA examination or equivalent membership of a recognised professional finance program.
Remarks
A minor is at least four units (equivalent to 24 Monash credit points).
* NOTE : The Tuition Fee is subject to change Semester wise, as such for exact Tuition Fee kindly see the Website of the respective University.
* NOTE : Pathways : Students who want to pursue a Graduate Degree through a particular University but are unable to meet the university requirements for the GPA, GRE/GMAT or English Language scores, have to take up an additional academic and language support i.e. pathways in order to ensure the admit and study at the desired University.