The Master of Science in Finance at Hofstra University offers advanced financial instruction designed for students seeking to build a strong conceptual understanding and develop sophisticated analytical abilities in finance. You will explore key areas such as corporate finance, investments, international finance, and financial institutions, preparing you for diverse career paths. This postgraduate degree is ideal for those aiming to excel in roles requiring deep financial acumen, whether in financial and risk management or investment analysis concentrations.
This full-time, on-campus Master of Science program is studied over two years, providing an immersive academic experience. You will engage with specialized coursework including Managerial Finance, Investments, Financial Analysis and Planning, and Risk Management in Financial Institutions, with opportunities to delve into advanced topics like Derivatives Markets and Statistical Modeling in Finance. You will graduate with a comprehensive skill set, ready to pursue roles in financial analysis, risk management, portfolio management, and beyond.