Ideas for Master's thesis in finance

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Hello everyone,

New member of the forums here! Therefore, I apologize in advance if this post is not relevant.

I am a cand.scient.oecon student specializing in finance, looking for topics for my Master's thesis next year. I would like a topic related to quantitative finance that I can explore using C++, which I am currently self-studying. I have a solid background in measure theory, advanced probability theory, stochastic calculus, pricing and hedging of derivatives, fixed-income analysis and econometrics. Furthermore, I wrote my Bachelor's thesis about the Heston model and the pricing of loop-back options..

Any white papers, ideas, or advice would be greatly appreciated.

Best regards,

Breez :)
 
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