MSc Financial Mathematics in London United Kingdom | University College London

University College London | London United Kingdom
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Qualification
Masters Degree (Taught)
Languages
English
Delivery Mode
On-Campus
Tuition (2025)
GBP 41,000
(c. USD54,704.25)
Attendance
Full-time
Full-time Duration
12 months

The financial services industry places great emphasis on raising the level of mathematics used in banks in applications to pricing, hedging and risk management. This MSc provides students with the skills necessary in mathematics, statistics and computation for a career in this fast-developing field. Students will develop a detailed understanding of the application of mathematics, statistics and computation to problems in finance, and will gain the necessary practical tools for the pricing, hedging and risk management of a diverse range of financial products in several asset classes. The programme is suitable for applicants with a first degree in mathematics sciences, engineering, finance or economics who wish to gain the skills necessary for a career or further research in this field. Evidence of ability in key areas of applied mathematics is required.


Destination of Study

Subjects of Study

Language Requirements

English
IELTS 7.0

Qualification Requirements

A minimum of an upper second-class Bachelor's degree in a relevant discipline from a UK university or an overseas qualification of an equivalent standard.Overall grade of 6.5 with a minimum of 6.0 in each of the subtests. Overall score of 92 with 24/30 in reading and writing and 20/30 in speaking and listening.

Tuition GBP 41,000

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