
The 10-month Master of Science in Finance provides an intensive exploration of financial analysis, investment strategies, and corporate finance principles. Students study advanced topics such as portfolio management, risk assessment, and financial modeling while engaging in practical projects and case studies. The program emphasizes analytical thinking, quantitative skills, and strategic decision-making, preparing graduates to evaluate complex financial scenarios and provide informed recommendations in professional finance settings. Participants gain expertise in investment analysis, capital markets, and corporate financial management, equipping them to contribute effectively to financial planning, advisory, and strategy development.
Beyond theoretical coursework, students actively apply their knowledge through financial simulations, data analysis exercises, and collaborative projects. The curriculum balances rigorous academic instruction with hands-on practice, ensuring graduates leave with the technical skills and professional confidence necessary to navigate dynamic financial environments. Guidance from experienced faculty and access to financial research resources support students’ ability to analyze market trends, optimize investment strategies, and make sound financial decisions
Semester 1 – Foundations in Finance
• Corporate Finance and Financial Management
• Investment Analysis and Portfolio Management
• Quantitative Methods for Finance
• Research Methods in Finance
Semester 2 – Applied Finance and Capstone Project
• Risk Management and Derivatives
• Financial Modeling and Valuation
• Ethics and Professional Responsibility
• Capstone Project in Finance
Graduates of this program are prepared for careers as financial analysts, investment advisors, portfolio managers, risk management specialists, and corporate finance consultants. They can work in banks, investment firms, insurance companies, corporate finance departments, and consulting organizations. The program emphasizes practical financial skills and analytical expertise, enabling graduates to evaluate investment opportunities, assess financial risk, and support strategic decision-making. Students gain proficiency in financial modeling, portfolio management, and capital market analysis, preparing them to contribute to business growth, optimize financial performance, and provide informed guidance to clients and organizations.
This program is ideal for individuals seeking advanced training in finance with a practical, hands-on approach. The 10-month full-time structure allows students to rapidly gain expertise in financial analysis, investment strategies, and corporate finance while engaging in applied projects. Participants benefit from mentorship by experienced faculty, exposure to real-world financial scenarios, and opportunities to apply analytical techniques in practice. Graduates are prepared to analyze complex financial data, design investment strategies, and make evidence-based financial decisions. By integrating rigorous academic study with practical application, students gain the knowledge, technical skills, and professional confidence necessary to pursue successful and impactful careers in finance, investment, and corporate advisory.
For further information, please contact the admissions office at:
Phone: (615) 322-2561
Email: admissions@vanderbilt.edu
Address: University of Vanderbilt, Office of Undergraduate Admissions, 2305 West End Avenue, Nashville, TN 37203‑1727, United States