Masters Program in Financial Mathematics in Europe

View Masters Programs in Financial Mathematics in Europe 2018/2019

Financial Mathematics

A master's degree is a postgraduate academic degree. One must already have an undergraduate degree to apply for a master's program. Most master's degree program would require students to complete a master's thesis or research paper.

 

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.

Europe is the sixth largest continent and includes 47 countries and assorted dependencies, islands and territories. It is bordered by the Mediterranean Sea to the south, Asia to the east, and the Atlantic Ocean to the West.

View all Master Programs in Financial Mathematics in Europe 2018/2019

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Master Mathematical Models in Economics and Finance (MMEF)

University Paris 1 Panthéon-Sorbonne
Campus Full time 1 year September 2018 France Paris

The first year of Graduate Studies (Diplôme Universitaire), MMEF - Mathematical Methods in Economics and Finance, is a one-year, full-time, international program that is taught in English. The courses correspond to those taught in the first year of Graduate Studies, which in the Bologna European Academic System is the first year M1 of the Masters. The courses derive from pre-existing courses at the university, with intensive courses in French. [+]

First Year of Graduate Studies:

The first year of Graduate Studies (Diplôme Universitaire), MMEF - Mathematical Methods in Economics and Finance, is a one-year, full-time, international program that is taught in English. The courses correspond to those taught in the first year of Graduate Studies, which in the Bologna European Academic System is the first year M1 of the Masters. The courses derive from pre-existing courses at the university, with intensive courses in French.

The degree is devoted to the training of students in the use of mathematical models in economics and finance: mathematical economics, strategic analysis, decision theory, stochastic models, mathematical finance, and optimization models. The training is built around a large spectrum of courses, which aim to give the knowledge for the modelization of economic and financial problems, for mathematical formalization and tools for the numerical solutions. The new models in finance, economics and decision theory need a coherent training in these fields.... [-]


Master in Mathematics and Modelling. Specialisation: Mathematical Statistics and Financial Mathematics

Linnaeus University
Campus Full time 2 years September 2019 Sweden Teleborg

This programme will suit anyone who is interested in mathematics and wants to apply his or her skills to problem-solving and for creating new mathematical models. It also gives you the possibility to start an academic career. In Mathematical Statistics and Financial Mathematics, you study courses in mathematics but you also train stochastic thinking and statistic skills. It contains courses in e.g. probability theory, stochastic analysis, insurance mathematics and financial modeling. [+]

The technology we use in today's society is to an ever-increasing extent based on mathematical models and calculations.

This programme will suit anyone who is interested in mathematics and wants to apply his or her skills to problem-solving and for creating new mathematical models. It also gives you the possibility to start an academic career.

There are three specializations (all end with a master thesis work).

Mathematical Statistics and Financial Mathematics: You study courses in mathematics but you also train stochastic thinking and statistic skills. It contains courses in e.g. probability theory, stochastic analysis, insurance mathematics and financial modeling.

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Mestrado em Matemática Financeira

ISCTE Business School – Instituto Universitário de Lisboa
Campus Part time 16 - 24 months September 2018 Portugal Lisbon

O Mestrado em Matemática Financeira, organizado conjuntamente pela ISCTE Business School e pelo Departamento de Matemática da Faculdade de Ciências da Universidade de Lisboa, visa a formação avançada de quadros na área dos processos estocásticos aplicados às Finanças. [+]

O Mestrado em Matemática Financeira tem por objetivo suprir o atual défice de formação quantitativa na área dos mercados financeiros.

A teoria financeira tem-se tornado cada vez mais quantitativa. Paralelamente, as instituições financeiras (bancos, seguradoras, fundos de investimento, fundos de pensões, corretores e outras instituições) têm demonstrado uma crescente procura de recursos humanos com forte apetência quantitativa e sólida formação na área financeira, para o exercício de funções nas áreas de gestão de riscos financeiros, inovação financeira e avaliação de instrumentos financeiros.

Plano de Estudos 2013/2014

A parte curricular do Mestrado encontra-se dividida em quatro trimestres letivos.O percurso académico dos alunos é apenas diferenciado no 1.º trimestre em função da sua área de proveniência: Matemática (Percurso A) versus Economia (Percurso B).... [-]


Distance Learning Master in Financial Engineering

University of Kaiserslautern
Online Part time 6 semesters October 2018 Germany Kaiserslautern

Advanced knowledge of the fundamental theory, continuous-time financial mathematics skills and the ability to put that expertise into practice, coupled with an understanding of key concepts in actuarial and financial mathematics is more important than ever to an understanding of the increasingly complex financial market. [+]

Qualification

Advanced knowledge of the fundamental theory, continuous-time financial mathematics skills and the ability to put that expertise into practice, coupled with an understanding of key concepts in actuarial and financial mathematics is more important than ever to an understanding of the increasingly complex financial market. Competition for the best jobs in the finance and insurance sector is also set to intensify, and acquiring that expertise significantly improves your chances of moving into this field or furthering your career in finance or insurance. You can develop the skills you need on the Financial Engineering distance-learning programme at TU Kaiserslautern.

Target group ... [-]

Master (MSC) in Mathematical Finance

ISEG - Lisbon School of Economics & Management
Campus Part time 2 years September 2018 Portugal Lisbon

The Masters in Mathematical Finance is designed to further the education in quantitative finance of students who already have a Bachelors degree in Mathematics, Statistics, Physics, Economics, Finance or Management. [+]

Increasing the "high-tech" character of modern business has Increased the need for advanced methods, Which rely, to a large extent, on mathematical techniques Which are seemingly indispensable for competitiveness in industry.

Launched in 2007/08 under the Bologna process, the Masters in Mathematical Finance Has Been offered every year ever since then. It was created as a Developing and innovative project in Portugal, Which Followed the standards of European universities.

A3ES accreditation in 2013 certifiés the quality of the MMF's program, Which combines theoretical rigor with sectoral skills, balancing cutting-edge knowledge and research with contact with financial sector practices. ... [-]


Master in Stochastics and Financial Mathematics

Vrije Universiteit Amsterdam
Campus Full time 2 years September 2018 Netherlands Amsterdam

The Master’s program in Stochastics and Financial Mathematics at Vrije Universiteit Amsterdam trains you in the full depth and breadth of the field, expanding your abilities and insights and enhancing your opportunities in the job market. [+]

Master in Stochastics and Financial Mathematics

Stochastics examines phenomena in which chance plays a central role, such as the result of a general election, fluctuations in share prices or the interactions between molecules in a living cell. If you opt for the Master’s program in Stochastics and Financial Mathematics, you will be trained to become a world-class expert in both theory and relevant areas of application. The Master’s program in Stochastics and Financial Mathematics at Vrije Universiteit Amsterdam trains you in the full depth and breadth of the field, expanding your abilities and insights and enhancing your opportunities in the job market.

The program in a nutshell... [-]