beech-erke
多伦多大学研究生项目:
1.
Master of Financial Risk
Management
金融风险管理
Requirement
Evaluation
Criteria
Undergraduate
Degree:
Minimum B
average required across courses in the
final year but most
students admitted
will have a considerably higher GPA
Quantitative Proficiency:
Evidence of a high level of proficiency in
quantitative subjects
such
as
Calculus, Linear Algebra, Statistics
and Econometrics is required
Prerequisite Courses:
Foundations of Finance, Financial
Accounting, Financial Derivatives,
Investments
Two Academic
References:
Two recommendation forms
must be completed online by your
referees
Online Application:
Includes 1 written essay, 2 video
questions and 1 real-time written response
Admissions Interview:
By
invitation only
International Student
Fee:
$$60,375*
From September
to April
8 months
of Financial
Mathematics
金融数学(计算机能力要求
matlab C++
)(
no
GRE GMAT requirement
)
Requirement for admission to MMF
T
o apply for this Program
you must have completed the equivalent of a
University of Toronto 4-year
undergraduate degree from a recognized
university with a minimum standing equivalent to a
University of
Toronto mid-B
(
75%
) in the final two years
of your program. Only senior level courses will be
considered
for admission. Strong
mathematical ability, good communication skills
and knowledge of
programming
are required. Those admitted to the
Program will usually have achieved academic
standing considerably
higher than the
minimum required to apply. Workplace experience is
also valued as part of the
application.
Exceptional math skills are the most
important qualification.
In all cases,
applicants must satisfy the Admissions Committee
of their ability to do rigorous quantitative
analysis at an advanced level.
Areas of competency should include:
linear algebra, multivariable calculus,
differential equations,
knowledge of
real analysis, measure and integration,
probability spaces.
At least one
undergraduate course in statistics that covers
topics such as confidence testing, applied
multivariate analysis, time series
analysis and basic regression.
Knowledge of economics and finance as
well as MatLab (with applications) and other
programming
languages (e.g. C++) are
necessary.
12 months (4 month
internship)
of Financial
Economics
金融经济学
(
prefer GRE)
Requirement:
a) (Minimum)
GRADE requirement:
B+ (3.3 out of 4.0
GPA, or 78%) in the final year of a
four-year program.
A B+ equivalent differs worldwide.
Candidates can refer to the database on
grade equivalencies
for
International
Students,
provided by the School of
Graduate Studies, University of Toronto.
b) (Minimum) COURSE
requirements:
Applicants must have a
strong preparation in economics,
including full year* courses in:
1.
2.
3.
4.
intermediate-level micro theory (at the
UofT, we prefer
ECO 206Y
,
but also accept
ECO
204Y
,
200Y
)
intermediate-level macro theory (at the
UofT, we prefer
ECO 208Y
,
but also accept
ECO
202Y
,
209Y
)
calculus (at the UofT, we prefer
MAT 133Y
,
135Y
,
137Y
,
157Y
)
statistics (at the UofT, we prefer
ECO 227
, but also accept
ECO 220Y
,
STA 257
H
/
261H
)
* A full-year course is equivalent to
2 one-semester courses. See
FAQ
page
for components in
required courses.
c) APPLICATION requirements:
The application must be supported by:
1.
2.
3.
4.
At least
2 letters of
reference
from academicadvisors or
instructors uploaded online (or in
signed/sealed envelopes)
A one-page
'statement of
interest'
(see
FAQ
)
A
resume
or
CV
(curriculum vitae) - 2 pages
max.
An accepted
English Language Test
(TOEFL, IELTS, MELAB) sent directly from the
testing center
–
required of candidates whose most recent post-
secondary degree was
offered from an
institution whose language of instruction was
other than in
English. See
here
for minimum
scores.
5.
Official
GRE
(preferred) or
GMAT
(accepted) scores *** sent from the testing
centre****
–
required of candidates whose post-
secondary studies were from other than a Canadian
university. See
here
for minimum
scores.
6.
Official academic transcripts from all
attended post-secondary institutions, in sealed
and
signed envelopes
** A work reference is accepted in
exceptional cases.
*** Students who
barely meet the minimum grade requirement, or have
not done advanced work in
economic
theory and/or econometrics are encouraged to take
the GRE
preferrably
, or GMAT
test.
**** Please upload the
unofficial copy of your GRE or GMAT and English
Language Test scores to
your online
application.
of Financial Insurance
Requirement:
We seek
applicants with a strong quantitative
undergraduate training, e.g., those graduating
with
degrees in Statistics, Actuarial
Science, Mathematics, Economics, and Engineering.
?
A
Bachelor’s
degree
from
a
recognized
university
in
a
related
field
such
as
Statistics,
Actuarial
Science, Economics, Mathematics, or any discipline
with a significant quantitative
component
?
An average
grade equivalent of at least a University of
Toronto B+ in the final year or over
senior courses; applicants with a
minimum of mid-B and exceptional ability
demonstrated
through workplace
experience may also be considered
滑铁卢大学研究生项目:
1. Master of Actuarial Science
(精算)
?
Minimum requirements
o
A
four-
year honour’s Bachelor’s degree
with an overall 83% average from a Canadian
university (or its
equivalent).
?
Application materials
o
Ré
sumé
o
Supplementary
information form
o
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