Course descriptionQuantitative finance is widely recognised as a rapidly expanding market for mathematical and scientific skills. Financial Mathematics is an application of mathematical methods to financial...Read more
Who is it for?
To successfully complete the Financial Mathematics postgraduate course, you must have a very good understanding of mathematics. You may well have studied maths, physics or engineering...Read more
While practically orientated, this MSc in Applied Statistics and Financial Modelling proceeds from a strong theoretical background so as to develop your ability to tackle new and non-standard problems with confidence. ...Read more
The depth of maths taught in our mathematical finance masters will give you the skills you need to succeed in the finance sector. It is also the ideal preparation if you want to pursue a research...Read more
Designed for those with a strong mathematical background looking to pursue a career in finance
Gain financial expertise from the University of Exeter Business School alongside mathematical...Read more
Financial engineering is a multi-disciplinary field that involves the application of computational engineering, software engineering and computer programming skills, along with underlying mathematical...Read more
This programme, taught jointly by the School of Mathematics and the Department of Economics, provides the skills that will enable technically able graduates (including in mathematics, science and engineering)...Read more
We offer research supervision for our MPhil Computational Finance in the following fields: agent-based modelling of financial markets; computational risk management; high-frequency finance; and the use...Read more
This degree provides you with knowledge of advanced finance concepts, whilst developing your quantitative, mathematical and research skills.
Taught by experienced academics based in both Leeds...Read more
This MSc Financial Mathematics programme will equip you with the mathematical and computational skills required in the finance and insurance industries.
- Probability theory, stochastic analysis...Read more
The Department of Mathematics and Alliance Manchester Business School at the University of Manchester have combined their academic strength and practical expertise to deliver the MSc...Read more
Join our challenging Mathematical Finance MSc, taught by three of Warwicks top departments; Mathematics, Statistics and Warwick Business School. With expert supervision, this mathematically rigorous course...Read more
Our exciting and intensive MSc in Mathematical Finance will give you the skills you need to work in the financial sector and adapt quickly to new developments in the field.
Join an established course...Read more
Financial mathematics builds on the application of advanced concepts in modern probability theory to enable market professionals to tackle and systematically resolve a huge range of issues in...Read more
The Master’s degree in Risk Management is a one-year course, providing technically-minded graduates with an analytical study of risk management and financial engineering. The course is run by Imperial...Read more
Students develop an advanced knowledge of computational methods in finance, which is a prerequisite for a successful career in the financial industry within quant teams. Quants (development analysts)...Read more
The Financial Mathematics MSc enables graduates and professionals with a strong mathematical background to research, develop and apply quantitative and computational techniques to investment and risk management. ...Read more
Learn to apply a wide range of mathematical and statistical techniques to model the behaviour of the financial markets. The MSc in Financial Mathematics is for you if you are planning a career in the...Read more