The Master’s in Asset Management program trains future asset managers to find data-driven solutions to real-world problems while maintaining high ethical and moral standards in the exercise of their fiduciary responsibility. Students in the program receive training in all facets of asset management, including investment theory and practice, portfolio management, and risk management, with a focus on forward-looking quantitative methods and new technologies in this fast-developing field.
Data gathered at fall matriculation.
Class of 2024 Overview
* Includes U.S. Permanent Residents and Dual Citizens
Professional Background
Years of Full-Time Work Experience
Pre-SOM Industry *
* Represents industry of most-recent internship or full-time experience
Citizenship by Region
15 Citizenships Represented
Canada
China
Finland
France
Hong Kong S.A.R.
India
Italy
Japan
Kenya
Lithuania
Mexico
Russia
Taiwan
United Kingdom
United States
Education and Test Scores
GRE
161-170
GRE-Q Score Range
152-167
GRE-V Score Range
80%
% with GRE scores
GMAT
640-770
GMAT Score Range
20%
% with GMAT Score
GPA
3.47-3.99
Undergraduate GPA Range*
* GPA is reported only for U.S. schools on a 4.0 grading scale where GPA appears on transcript
Undergraduate Majors*
*A .5 value has been assigned to each individual major for students listing 2 or more undergraduate majors
U.S. Students of Color
93%
U.S. Students of Color
(% of U.S. Students)**
* Includes U.S. Permanent Residents and Dual Citizens
** Percentage of U.S. Citizens and Permanent Residents who identify as Asian, Black, Hispanic/Latino, Native American/Islander, or Multiethnic