Tag Archives: Risk Management

Hofstra Zarb School’s MS Finance Program is ranked 43rd by The Financial Engineer

2015 Finance Rankings | The Financial Engineer.

Hofstra's Master of Science in Finance Program is ranked 43rd nationally by The Financial Engineer. Hofstra’s Master of Science in Finance program is ranked 43rd nationally by The Financial Engineer. One of the more successful tracks of Zarb’s MS Finance program is its Risk Management concentration. Dr. Karagozoglu hopes that this success will encourage financial regulators – the SEC, CFTC, OCC, FINRA and the Fed- as well as the exchanges to hire top ranked risk management degree holders from Hofstra University’s Zarb School of Business.

3rd Annual Wall Street Trip for Class of 2014 Quant Finance students at Hofstra

Finance Department in the Zarb School of Business at Hofstra University treats its graduating class of Master of Science in Finance (MSF) and Master of Science in Quantitative Finance (MSQF) students with its Annual Wall Street Trip which is organized by Dr. Ahmet Karagozoglu and Dr. K.G. Viswanathan, who is the Chairperson of Finance Department.

3rd Annual Wall Street Trip took place on Thursday May 22nd, following the Sunday May 18 commencement ceremony where 50+ MSF and MSQF students graduated with their masters degrees. This year finance professors Dr. Sinan Cebenoyan and Dr. Ahmet Karagozoglu accompanied their students.

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