• This MSc Financial Mathematics programme will equip students with the mathematical and computational skills required in the finance and insurance industries.  
    • Probability theory, stochastic analysis and mathematical modelling
    • Computational methods
    • Financial derivatives
    • Risk management
    • Econometrics
  • This program is ideal for professionals with mathematical background who would like to start, or further develop a career in the finance and insurance industries. It is also an excellent training ground for students wishing to embark upon a research degree (PhD) in financial or actuarial mathematics.