Learn skills used for quantitative modelling positions, from structuring to pricing complex derivatives and fixed income securities on our Financial Mathematics masters course.
Who is it for?
To successfully...Read more
While practically orientated, this MSc 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
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
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 MSc Mathematics and Financial Modelling offers you the opportunity to increase your knowledge and abilities in pure, applied and financial mathematics. A wide choice of modules allows you to study...Read more
The financial services industry place great emphasis on raising the level of mathematics used in banks in applications to pricing, hedging and risk management. This MSc provides students with the skills...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
Our Financial Mathematics MSc enables graduates and professionals with a strong mathematical background to research, develop and apply quantitative and computational techniques to investment...Read more
Financial institutions rely on a blend of mathematics, technology and finance to enhance and sustain their competitive edge. Be immersed in technology and financial mathematics and face up-to-the-minute...Read more
The programme draws on LSEs strengths in finance and related areas to provide high-level instruction in the mathematical theory underlying finance, and training in appropriate computational methods. ...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