- Computational Methods in Finance I
- Introduction to Pricing and Hedging
- Financial Econometrics
- Fixed Income Securities
- Statistical Methods in Finance
- Arbitrage, Equilibrium and Pricing
The MSc Financial Mathematics programme provides you with advanced analytical training, quantitative knowledge and the practical skill sets required by modern financial institutions.
The MSc Financial Mathematics programme provides you with the advanced analytical training, quantitative knowledge and practical skill sets required to operate as a professional in modern financial institutions.
Offering a solid education in financial analysis, risk management and financial engineering, the programme is the perfect foundation for a successful career in the finance and banking industries. You will undertake advanced mathematics and programming modules designed with practical applications in mathematical and quantitative finance.
Our graduates can confidently work with complex financial data to provide innovative solutions to challenges in a range of business contexts.
By the time you graduate from the MSc Financial Mathematics programme, you will have:
Graduates from this programme are well prepared for a range of roles in the business world in organisations including banks, investment firms, insurance companies, consulting services to the financial industry, and government regulation agencies. The programme also offers a solid foundation for pursuing a career in research or academia.