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The Master of Science in Financial Mathematics is tailored for graduates holding a bachelor's degree in Mathematics or similar disciplines, aiming to secure an edge in finance by developing robust mathematical and statistical expertise required for advanced quantitative positions. This program provides modern competencies and knowledge, incorporating cutting-edge digital advancements like financial machine learning, computational finance, and statistical data analysis. During the Summer Trimester, participants will either deepen their theoretical and practical understanding through a research dissertation or gain hands-on experience by undertaking an industry placement with a financial institution.
DURATION: 1 Year
ATTENDANCE: Full-Time
MODE OF DELIVERY: In-Person
NEXT INTAKE: September 2024/2025