MSc Mathematical Finance

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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 which has been serving students for over a decade. Our team of dedicated academic staff are leaders in their field. They publish definitive textbooks with Cambridge University Press and Springer, introducing stochastic processes and mathematical finance to crucial modern concerns such as credit risk.

Our course features on RiskNet.

If you'd like to study this course but feel the need to revise and consolidate your mathematics background before starting, we offer an online pre-sessional course: Mathematical Foundations of Quantitative Finance.

Teaching and assessment

You’ll work with world?leading academics who’ll challenge you to think independently and excel in all that you do. Our approach to teaching will provide you with the knowledge, opportunities, and support you need to grow and succeed in a global workplace.

Careers and skills

Upon successful completion of this course, you can embark on careers in trading and pricing derivative financial securities (options, futures, forwards, and the like), fund management, risk management, research and development, or pursue further study to PhD level.

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Requirements

The requirements may vary based on your selected study options.





















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Use our magical AI system, to check your admission chances for this course.
Offer response
2 weeks after your application is submitted
Backlogs accepted
This course accepts backlogs