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Statistics with Finance (MSc)
University of Warwick

Student rating
(4.3)

Find out more about studying Statistics with Finance (MSc) at University of Warwick? We've gathered all the key details, entry requirements, modules, fees, and more. Take the next step by booking an open day to explore it for yourself.

Different course options

DATA SOURCE:
UNISTATS, UCAS
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Qualification

MSc - Master of Science

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Location

University of Warwick

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Study mode

Full Time

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Start date

Sep 2026

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Duration

1 Year

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Course info

A key feature is the compulsory core module ST964 Introduction to Advanced Probability, which provides a rigorous, graduate-level introduction to measure-theoretic probability theory, building on your existing mathematical background. Students then take further modules related to mathematical and statistical modelling in finance, covering subjects which may include stochastic methods in finance, applications of stochastic calculus, time series analysis, and advanced trading strategies. The curriculum is completed by a wide selection of statistical elective modules, allowing for further study in areas such as Bayesian statistics, statistical learning, Monte Carlo methods, or medical statistics. This ensures graduates develop a robust quantitative skillset for the finance industry. Please note that the availability of some optional modules may vary from year to year.

Key stats
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Complete University Guide ranking
9th
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Complete University Guide Accounting & Finance ranking
2nd
Tuition fees
Student living
£13,040 per year
Students from Domestic

DATA SOURCE:
UCAS / IDP Connect

Uni info

Student rating
(4.3)
View reviews
CUG ranking 9th
University of Warwick
University of WarwickCoventryCV4 7ALUnited Kingdom