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MSc Financial Mathematics

There is sustained interest in the Financial Services Industry to raise the level of Mathematics used in banks, hedge funds and insurance firms, for example in applications to pricing, hedging and risk management. This innovative and modern MSc provides students with the skills necessary in Mathematics, Statistics and Computation for a career in this fast developing field.

The emphasis in this new programme is to develop a sense of doing “good science”, where students are encouraged to explore the nature of financial data and to use this as a strong constraint on theoretical modelling.

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Entry Requirements

Information on how to apply and pre-application information for prospective MSc programmes in Financial Mathematics students.

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Programme Structure and Modules

Find out about the programme structure for the MSc in Financial Mathematics, the course modules available and further information about the final project.

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Resources

Find out about our academic facilities including the UCL library, computing facilities, the Graduate Hub and our departmental resources including lockers, the study room and mail.

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MSc Assessment and Examinations

Information about the the examinations process, requirements for passing the MSc in Financial Mathematics and award system.

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Advice and Guidance

Find out who to speak to if you encounter any problems or difficulties during your studies at UCL.

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Fees and Funding

Information for postgraduate students about paying tuition fees and sources of funding.