Our department's Master’s program encompasses three fields: Statistical Theory, Actuarial Science and Financial Modelling. Students in the Statistical Theory field will study probability, inference, statistical computing and data analysis in depth. Students in the Actuarial Science field will learn about survival analysis, risk, ruin, mortality and their connections with finance. Students in the Financial Modelling field will learn the theory and application of deterministic and stochastic models used in the banking industry.Program Length3 Terms (Project-based)6 Terms (Thesis-based)
خيارات الدراسة
دوام كامل
(2 فصول دراسية)
رسوم التسجيــل
CAD$20,549.01 (US$ 14,770)
سنوياً
Health Insurance (UHIP) fees - 792
تاريخ البدء
سبتمبر 2027
مكان عقــد الدورة
Main Campus
1151 Richmond Street,
London,
Ontario,
N6A 3K7, Central Canada, Canada
شروط القبول
للطلاب الدوليين
Four year undergraduate degree from a recognized institution with sufficient background in Statistics Actuarial Sciences andor Financial Modelling
قد يكون هناك متطلبات أيلتس مختلفة بناء على التخصص المحدد.