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MSc Programs in Financial Mathematics 2021 in Nottingham in United Kingdom

  Certain mathematical subjects, such as statistics and linear algebra, are effective in the analysis of the behavior of markets. Economists, bankers and business consultants would all benefit from applying themselves to a detailed study of these concepts in a financial mathematics program.The United Kingdom of Great Britain and Northern Ireland, commonly known as the United Kingdom and Brita… Read more

Certain mathematical subjects, such as statistics and linear algebra, are effective in the analysis of the behavior of markets. Economists, bankers and business consultants would all benefit from applying themselves to a detailed study of these concepts in a financial mathematics program.

The United Kingdom of Great Britain and Northern Ireland, commonly known as the United Kingdom and Britain, is a sovereign state located off the north-western coast of continental Europe.The two most famous (and oldest) universities are Oxford and Cambridge (often referred to as Oxbridge by many Britons) England also has several other world-class institutions, including several in London (notably Imperial College, the London School of Economics, University College London and King's College London, all are part of London University)

Nottingham is known for the legend of Robin Hood, two large theatres and many museums and galleries. It’s also home to two universities that have over 60 thousand students, 12 thousand of whom are international.

Request Information Master of Science Programs in Financial Mathematics in Nottingham in United Kingdom 2021

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University of Nottingham, Faculty of Science
Nottingham, United Kingdom

This course focuses on the mathematical modelling and computational techniques used in the financial industry, and on the required background in finance. Financial mathematics ... +

This course focuses on the mathematical modelling and computational techniques used in the financial industry, and on the required background in finance. Financial mathematics is a branch of mathematics where advanced mathematical and statistical methods are developed for and applied to financial markets and financial management. Its main aims are to quantify and hedge risks in the financial marketplace. Effective computational methods are crucial for the successful use of mathematical modelling in finance. This course is designed to reflect this combination of knowledge and skills so that graduates are well equipped to enter the competitive job markets of quantitative finance and related fields. Optional modules equip graduates with foundations of data analytics. -
MSc
Full-time
English
20 Sep 2021
02 Aug 2021
Campus
 

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