With the ever-increasing connectivity and interdependency in the world markets, emerged the necessity and scope for a newly emerging area of Quantitative finance, which concerns with the application of mathematical methods to derive the solution to complex problems in financial markets. Quantitative Finance subsumes Mathematics, Economics and Finance.
This course is apt for students who have a strong mathematical or statistical background with an inherent interest in the field of finance and management. It can be pursued as core specialization after CA, Engineering and Master’s degree in Economics and Statistics for a cutting edge career option.