Statements (28)
| Predicate | Object |
|---|---|
| gptkbp:instanceOf |
gptkb:doctoral_degree
|
| gptkbp:careerPath |
gptkb:financial_analyst
gptkb:financial_services_company portfolio manager risk manager |
| gptkbp:degree |
gptkb:Master_of_Science
|
| gptkbp:duration |
2 years
1 year |
| gptkbp:fieldOfStudy |
Financial Analysis
|
| gptkbp:focusesOn |
corporate finance
financial modeling investment analysis portfolio management quantitative methods |
| gptkbp:offeredBy |
gptkb:Hong_Kong_University_of_Science_and_Technology
gptkb:New_York_University gptkb:Rutgers_University gptkb:University_of_San_Francisco |
| gptkbp:prerequisite |
bachelor's degree
mathematics coursework statistics coursework |
| gptkbp:relatedTo |
gptkb:CFA_certification
MS in Finance MBA in Finance |
| gptkbp:targetAudience |
graduates with quantitative background
|
| gptkbp:bfsParent |
gptkb:Fox_School_of_Business
|
| gptkbp:bfsLayer |
5
|
| https://www.w3.org/2000/01/rdf-schema#label |
MS in Financial Analysis
|