The Princeton Master in Finance is a two semester-long program that prepares students for a successful career in various quantitative finance disciplines, including risk management, asset management, financial forecasting, quant trading, and applied research. The program offers three focus areas: Quantitative Asset Management, Data Science & Financial Technologies, and Valuation and Macroeconomic Analysis.
A quant conference that brings together students and professionals from various backgrounds to discuss the latest advancements in the field of quantitative finance.