Master of Finance Co-op

  Master of Finance Co-op program features

  • Strong emphasis on empirical research in equities, fixed incomes, derivative products, corporate finance and portfolio management.

  • Provides students with an opportunity to prepare and write levels I and II of the Chartered Financial Analyst® exams.

  • Program lasts 20 months, including 2 work terms from January through April and September through December.

The Master of Finance degree program is targeted at students who want to pursue a career in finance in positions that demand extensive finance knowledge and excellent quantitative research skills.

The Master of Finance graduate should be able to use econometric software packages to conduct empirical research in equities, fixed incomes, derivative products, corporate finance and portfolio management. Positions in finance that require this depth of analytical skills are found in major investment banks, pension funds, insurance companies and financial services consulting firms.



A complete list of courses can be found in the Program of Study.

For co-op information, please contact Laurie Lahn.

(CFA Institute does not endorse, promote or warrant the accuracy or quality of Wilfrid Laurier University. CFA® and Chartered Financial Analyst® are registered trademarks owned by CFA Institute.) 

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