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Quantitative Portfolio Management and Algorithmic Trading

The University of Chicago welcomes students with strong quantitative skills to explore opportunities in the field of Financial Math. This course for current undergraduate and post-baccalaureate students in Quantitative Portfolio Management and Algorithmic Trading provides a rigorous introduction to modern applications in Financial Math through an interdisciplinary curriculum delivered via remote instruction by lecturers and industry experts affiliated with the Financial Math MS program at UChicago. Participants in this course will receive University of Chicago undergraduate course credit. Those who successfully complete this course and eventually matriculate in the Financial Math MS program within the next four years may apply credit earned towards that degree program.  

Due to COVID-19, for Summer 2021, this course will be taught via remote instruction. 

PROGRAM DATES

June 21 - August 13, 2021

Learn more about the Summer FinMath course.