
The MSc in Financial Mathematics gives you the tools necessary to undertake high quality research in both financial and academic institutions.
As such, you will be equipped for roles involving the development of pricing and risk management models and their testing, or for a career as a risk analyst or quantitative analyst.
You will acquire an in-depth knowledge and understanding of financial mathematics. This will include financial mathematical theory and modelling, along with probability theory and programming which is then applied for asset pricing, modelling interest rates and risk management.
This programme is rigorous with respect to the mathematics but also links the theory with real world developments
Information Sessions
- 28 April 2010 - 12.00
All sessions take place at the Cass site, just minutes from the City of London.
- Book your place Individual Appointments
Individual Appointments
If you would like to arrange an individual appointment to discuss this programme please email Janie.wang.1@city.ac.uk
