Georgia Institute of Technology

Master in Quantitative and Computational Finance

Atlanta, United States

The Master in Quantitative and Computational Finance at Georgia Institute of Technology is a program for international students taught in English.

Introduction

The Georgia Institute of Technology, founded in 1885 and located in Atlanta, is a leading public research university renowned for engineering, computing, business, and design. With a large and diverse student body and a global reputation for innovation, Georgia Tech blends rigorous academics with applied research and entrepreneurship. Its mission focuses on developing leaders who advance technology and improve the human condition, preparing students for impactful careers worldwide.

Georgia Tech offers more than a century of tradition in experiential learning, industry collaboration, and global engagement. Students benefit from strong ties to industry in Atlanta and beyond, extensive research centers, and a culture that encourages interdisciplinary projects, startups, and societal problem solving. Services like career advising, co-op placements, and study abroad opportunities help convert classroom learning into professional momentum.

International students are a vibrant part of the campus community and can access dedicated support for visas, orientation, and academic transition. With robust research programs, active global partnerships, and nearly 10,000 international colleagues, Georgia Tech is an attractive choice for students seeking a high-impact, technology-driven education in a dynamic urban setting.

About the Program

The Master in Quantitative and Computational Finance at Georgia Institute of Technology is a 2-year program for students who want to become experts in finance. It helps students develop skills in modeling and risk management. The program is taught in English and is based in Atlanta.

The curriculum includes subjects like financial modeling and investment strategies. Students learn to structure transactions and manage risk. The program also includes hands-on components to help students apply theoretical knowledge in real-world situations.

Graduates can work as risk managers, investment bankers, or portfolio managers. They can also work as financial analysts or quantitative analysts in companies like banks, investment firms, or financial institutions.

Similar Programs You Can Apply To

Direct application via Global Admissions is not available for this program. Browse similar partner programs below or visit the university's site to apply directly.

Edit Program

Related Blog Posts

Show More Blog Posts →
Apply Now