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Build sophisticated analytical capabilities and sector-specific knowledge to solve intricate financial problems and foster innovation in today's dynamic global marketplace. The Master of Financial Mathematics covers essential areas including pricing financial instruments, managing investment portfolios, assessing capital requirements, business valuation, and optimizing financial structures. Customize your learning path with specialized electives like Machine Learning, Portfolio Strategies, and Financial Econometrics, complemented by foundational financial mathematics coursework. Opt for practical industry immersion in fields such as commercial banking, commodity markets, or pension fund management. Alumni are in high demand across investment firms, corporate risk departments, insurance providers, asset management companies, regulatory bodies, and trading organizations.
If you have relevant prior learning or experience, you can reduce the number of courses you need to complete and graduate in less time.
To be eligible to complete the degree in 1.5 years full-time (only available as full-time study), you'll need:
You must have a grade point average (GPA) of 5.0 on a 7-point scale in your previous qualification.