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Statistical Sciences involves the study of random phenomena and encompasses a broad range of scientific, industrial, and social processes. As data become ubiquitous and easier to acquire, particularly on a massive scale, models for data are becoming increasingly complex. The past several decades have witnessed a vast impact of statistical methods on virtually every branch of knowledge and empirical investigation.

The Master of Financial Insurance (MFI) is a full-time professional program based on three pillars: statistical methods, financial mathematics, and insurance modelling. This program is appropriate for students with backgrounds in statistics, actuarial science, economics, and mathematics. Students with a quantitative background (such as physics and engineering) and sufficient statistical training are also encouraged to apply.




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