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The MSc in Quantitative Financial Economics is a component of our Applied Training Programme, tailored to deliver essential economics skills. This program is perfect for graduates from non-economics disciplines who want to acquire an economist's analytical capabilities. It also suits economics graduates seeking specialized knowledge in this field without undertaking comprehensive research training.
Your curriculum focuses on mandatory modules like Economic Concepts and Financial Econometrics. Additionally, you'll examine international finance and subjects such as exchange rate determination theories. The program also covers financial market operations through a technical module analyzing financial models that clarify equilibrium asset pricing and interest rate term structures.
You'll investigate risk management and trading through a module introducing methods for assessing market and credit risks. The course further explores how trader psychology influences market bubbles and crashes.