These MSc programmes deliver a high quality training in the theory of financial mathematics with a strong emphasis on computational methods and optimization techniques.
Why Financial Mathematics?
Our MSc programmes in the area of financial mathematics offer intensive training in the advanced mathematics that underpin modern financial industries. You'll be well-prepared with the relevant skillset for a range of exciting and potentially high-earning career opportunities.
We are proud to offer two MSc programmes in this exciting field:
Each of our MSc programmes has its own distinctive focus but with the common aims of delivering you a solid knowledge of financial derivative pricing, risk management and portfolio optimization, alongside the transferable computational skills required by the modern quantitative finance world.