Rutgers University, New Brunswick

Master in Statistics - Financial Statistics and Risk Management

United States

The Master in Statistics - Financial Statistics and Risk Management at Rutgers University, New Brunswick is a program for international students taught in English.

Introduction

Rutgers University, New Brunswick, founded in 1766, is a major public research university in the United States and a member of the Association of American Universities. The New Brunswick campus offers a comprehensive array of undergraduate, graduate and professional programs across liberal arts, sciences, engineering, business and the arts. With more than 43,000 students and a large international community, Rutgers blends rigorous academics with extensive research resources and strong industry connections.

Rutgers is distinguished by its research facilities, interdisciplinary centers and faculty who lead projects across a range of fields. The university’s broad program portfolio—hundreds of majors and dozens of graduate programs—supports experiential learning, internships and collaborative research. Students benefit from a culturally vibrant region, diverse campus life and career services that link classroom learning to employment outcomes. Strong alumni networks and partnerships with corporations and research organizations enhance post-graduate opportunities.

International students at Rutgers New Brunswick find a welcoming academic environment, dedicated international offices, language support and career advising tailored to global learners. The campus’s proximity to major northeastern hubs offers internships and professional exposure in finance, technology and research sectors. Prospective applicants should prepare competitive academic records and engage with faculty or centers aligned with their research or career interests to maximize opportunities within Rutgers’ large, resource-rich community.

About the Program

The Master in Statistics - Financial Statistics and Risk Management program at Rutgers University is for students who want to work with financial data and manage risk. This 2-year Master's degree helps students learn about probability theory and statistical inference.

The curriculum includes advanced statistical and computational methods, as well as supportive education in financial concepts and market structure. Students will learn hands-on skills in data analysis and modeling, and receive training in risk management and related regulation.

Graduates can work as Financial Analysts, Risk Managers, Data Scientists, Quantitative Analysts, or Portfolio Managers. They can find jobs in banks, investment firms, or insurance companies, and help make informed decisions about investments and risk.

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.

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