Massachusetts Institute of Technology (MIT) Campus
Master of Finance
On Campus
Massachusetts Institute of Technology (MIT) Logo
Massachusetts Institute of Technology (MIT)
Cambridge
United States

Finance

About

The Master of Finance (MFin) at Massachusetts Institute of Technology (MIT) is a one-year, full-time program designed to provide students with an in-depth understanding of financial theory, quantitative methods, and real-world applications. The program focuses on key areas such as financial modeling, risk management, asset management, and financial markets, preparing students for leadership roles in finance, banking, investment, and corporate finance. Through a combination of theoretical coursework and practical experience, students develop the advanced analytical and problem-solving skills needed to excel in the financial industry.

MIT’s Finance program offers access to world-class faculty, cutting-edge research, and a network of global professionals. Graduates of the program are well-equipped to pursue careers in investment banking, asset management, private equity, and corporate finance, among other fields. The program’s focus on quantitative analysis and financial decision-making ensures that students are ready to tackle the most complex financial challenges in an ever-evolving global market.

Key information

Duration
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Tuition fee
$128,820.00/year
Start dates & application deadlines
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More details
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Key Facts

  • Program Title: Finance
  • Degree Type: Master of Finance
  • Duration: 1 year
  • Mode of Study: Full-time, On Campus
  • Application Deadline: 04 January 2026
  • Location: Massachusetts Institute of Technology (MIT), United States
  • Field of Study: Finance
  • Language of Instruction: English

Program Structure

Semester 1 – Foundations in Finance

·        Financial Accounting and Reporting

·        Corporate Finance and Financial Strategy

·        Quantitative Methods in Finance

·        Financial Markets and Institutions

·        Introduction to Risk Management

Semester 2 – Advanced Topics in Finance

·        Investment Management and Portfolio Theory

·        Financial Modeling and Valuation

·        Fixed Income and Derivatives

·        Behavioral Finance

·        Advanced Risk Management and Hedging Strategies

Career Opportunities

Graduates of the Finance Master’s program at MIT are highly sought after by top firms in investment banking, asset management, private equity, corporate finance, and other finance-related industries. With expertise in financial modeling, risk management, and quantitative analysis, graduates are prepared for roles such as investment banker, financial analyst, portfolio manager, and risk consultant. The program’s strong reputation and connections to the financial industry ensure that graduates have access to a wide range of career opportunities, both in established financial institutions and emerging markets. The demand for professionals with advanced financial skills continues to grow, and MIT’s Finance program positions graduates for success in the competitive finance sector.

Why Choose This Program

MIT’s Finance program stands out due to its rigorous curriculum, quantitative focus, and emphasis on real-world applications. Students gain advanced knowledge in financial theory and practice, allowing them to make informed financial decisions in complex and dynamic environments. With access to MIT’s world-class faculty, cutting-edge research facilities, and a global network of alumni and professionals, students are uniquely positioned to succeed in the highly competitive finance industry. The program’s emphasis on analytical skills and financial modeling ensures that graduates are prepared to lead in various finance sectors, from investment management to risk analysis and corporate finance.

Contact Information

For further information, please contact the admissions office at:
Phone: +1 617-253-1000
Email: admissions@mit.edu
Address: University of MIT, 77 Massachusetts Avenue, Cambridge, MA 02139, USA