22 Financial Mathematics programs found
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22 Financial Mathematics programs found
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ISCTE Business School – Instituto Universitário de Lisboa
MSc in Financial Mathematics
- Lisbon, Portugal
Master
Part time
2 years
On-Campus
Portuguese
The Master in Financial Mathematics is a post-employment master's program, lasting two years and taught in Portuguese, which seeks to provide specialized training in the application of the theory of stochastic and differential calculus to concrete problems in the financial markets. This Master is taught in partnership with the Faculty of Sciences of the University of Lisbon.
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Aarhus University
MSc in Mathematics – Economics
- Aarhus, Denmark
MSc
Full time
2 years
On-Campus
English
MSc in Mathematics-Economics has taught you about how rates for a new mortgage loan should be fixed – with an interest-rate ceiling or as interest-only loans. In fact, it was mathematics–economics graduates who developed the model used for fixing the cost of such loans. All major companies face complex problems, and many turn to mathematics–economists when they do.
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Ulm University
Master in Finance
- Ulm, Germany
Master
Full time
4 semesters
On-Campus
English
The Master in Finance is a two-year program that offers students the choice between three specializations: Actuarial Science, Financial Economics and Financial Mathematics.
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Universidad Europea
Máster Universitario en Educación STEAM (Ciencias, Tecnología, Ingeniería, Artes y Matemáticas) - ON LINE
- Online Spain
- Málaga, Spain
Master
Full time
1 year
Distance Learning
Spanish
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University of Sussex School of Mathematical and Physical Sciences
MSc in Financial Mathematics
- Falmer, United Kingdom
MSc
Full time
1 year
On-Campus
English
Understand the main aspects of quantitative finance – including general finance theory, finance models and programming for graduates with a science, engineering and mathematics background. Our course builds on Sussex’s strong foundation of interdisciplinary research. You’ll be taught by experts from both the Department of Mathematics and the University of Sussex Business School. The course also draws on expertise from industry professionals, so you’ll gain the knowledge and skills to succeed in the fast-paced world of finance.
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Bayes Business School, City St George's, University of London
MSc in Financial Mathematics
- London, United Kingdom
MSc
Full time
12 months
On-Campus
English
Interested in learning more about the financial market and some of the mathematical techniques which are applied, in particular stochastic modelling? In our MSc in Financial Mathematics programme, you will focus on the tools that allow you to develop pricing models, and learn about different financial securities and how they are used in risk management or asset management.
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Vilnius University
Master in Financial and Actuarial Mathematics
- Vilnius, Lithuania
Master
Full time
3 semesters
On-Campus
English
The study program provides a high-profile education in financial and actuarial mathematics, with an emphasis on the theoretical foundations of various methods and techniques in probability theory, stochastic analyses, risk theory, and related fields. Graduates of the programme are qualified to analyse and solve problems in theoretical models of finance and insurance, with the implementation of their obtained solutions in practice.
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Linnaeus University
Master in Mathematics and Modeling. Specialization: Mathematical Statistics and Financial Mathematics
- Växjö, Sweden
Master
Full time
2 years
On-Campus
English
This program 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.
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ISEG - Lisbon School of Economics & Management
Masters in Mathematical Finance
- Lisbon, Portugal
Master
Part time
3 semesters
On-Campus
English
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.
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University of Pretoria - Faculty of Economic and Management Science
MSc (Mathematics of Finance)
- Pretoria, South Africa
MSc
Full time
1 year
On-Campus
English
The progress of all master's candidates is monitored biannually by the supervisor and the postgraduate coordinator. A candidate's study may be terminated if the progress is unsatisfactory or if the candidate is unable to finish his/her studies during the prescribed period.
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Johns Hopkins Whiting School of Engineering
MSE in Financial Mathematics
- Baltimore, USA
MSc
Full time
2 years
Distance Learning, On-Campus
English
Understanding and navigating today’s rapidly evolving, worldwide economic, and financial landscape is one of society’s most challenging current problems. This master’s program in Financial Mathematics provides you with a distinct opportunity to collect knowledge from across the university from its top-notch business school, economics department, and programs across the Whiting School of Engineering. Guided by distinguished faculty, you will explore probability, statistics, optimization, partial differential equations, and scientific computing.
Department of Mathematics University of York - Online Programs
MSc in Mathematical Finance by Online Distance Learning
- York, United Kingdom
MSc
Part time
Distance Learning
English
This distance learning programme builds on the strength and success of the campus-based taught MSc in Mathematical Finance at the University of York. The online MSc was launched in September 2009 to run alongside the campus-based programme.
Izmir University of Economics
Master in Financial Mathematics
- Izmir, Turkey
MSc
Full time
2 years
On-Campus
English
Financial Mathematics is the branch of applied mathematics concerned with the financial markets. It overlaps heavily with the fields of financial engineering and computational finance. Arguably, all three terms are synonymous. The subject naturally has a close relationship with the discipline of financial economics, but financial mathematics is narrower in scope and more abstract.
Xi'an Jiaotong-Liverpool University
MSc Financial Mathematics
- Suzhou, China
MSc
Full time
On-Campus
English
The MSc Financial Mathematics programme provides you with the advanced analytical training, quantitative knowledge and practical skill sets required to operate as a professional in modern financial institutions.
University of Exeter Business School
MSc Mathematical Finance
- Exeter, United Kingdom
MSc
On-Campus
English
Our conversion programme offers a solid foundation in financial and mathematical theory for those with or without a prior specialist mathematics or finance education. Gain financial expertise from the University of Exeter Business School alongside mathematical skills from our internationally respected Mathematics department. Develop essential, complementary skills in areas such as probability and stochastic analysis, option pricing, risk analysis and extremes, computational methods using MATLAB/C++, financial management and investment analysis.
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Master Programs in Economic Studies Finance Financial Mathematics
Financial Mathematics is a field of applied mathematics, which is basically tied to financial markets. This is where numerical models are derived with a financial theory being linked with market prices as inputs. Understanding the probabilistic nature of the financial world requires quality analysis and measure of derivatives in every financial model. The course opens the students’ mind to the approach of the financial markets.
Master in Financial Accounting degree has become a reliable field when analyzing the world of market prices. Every market comes with chances of either losing or gaining money. It is for this reason that the study of financial mathematics will help realize the risk measures to take before venturing. The course helps understand the uncertainty situations of the market and how to approach them. Students learn quality ways of making effective financial decisions as far as market prices are concerned. This is how deciding fair prices will be understood through financial mathematics.
A Masters degree in Financial Mathematics exam will develop the candidate’s level of understanding on the fundamental concepts in financial mathematics. The syllabus exposes students to the application of present calculations and other cash flow streams of the future in pricing, reserving, liability/asset management, valuation, capital budgeting, and investment income. The course will leave students ready to handle corporate financial institutions and government institution books with expertise. There are no requirements of a business background before enrollment but some calculus basis is a prerequisite.