University of California, Berkeley · Master

Master of Financial Engineering

The Master of Financial Engineering at University of California, Berkeley is a Master-level Economics & Finance program for international students. It combines core theory with applied, industry-relevant projects and is designed to lead into strong graduate employment and, in many destinations, post-study work and residency pathways.

Level
Master
Field
Economics & Finance
Duration
18 months
Tuition / yr
US$85,000
Approx USD
US$85,000 / yr
English
IELTS 7.0
Intakes
Aug, Jan
Delivery
On-campus

Entry requirements

A recognised bachelor's degree (or equivalent) in a related field with a strong GPA, plus English proficiency (IELTS 7.0 overall). Some programs require relevant work experience or a portfolio.

Careers & market demand

Demand. Quantitative finance, economics and fintech roles reward internationally mobile graduates, particularly in global financial centres such as London, New York, Singapore and Zurich.

Career pathways. Financial analyst, economist, investment banker, quant, risk manager, actuary, policy economist, fintech product lead.

Courses in this degree (6)

Every module — with topics, skills and the career pathway it builds.

Advanced Microeconomics

E&F110 · Semester 1 · 12 credits

Financial Econometrics

E&F120 · Semester 2 · 12 credits

Derivatives & Risk Management

E&F130 · Semester 1 · 12 credits

Asset Pricing & Investments

E&F140 · Semester 2 · 12 credits

Behavioural & Development Economics

E&F150 · Semester 1 · 12 credits

Dissertation

E&F160 · Semester 2 · 12 credits

From this degree to a student visa

United States student visa
F-1 Student visa

Prove funds for the first year of tuition + living costs shown on the Form I-20. Post-study: Optional Practical Training (OPT): 12 months, plus 24 months STEM extension.