Bayes Business School (formerly Cass)

MSc in Financial Mathematics

London, United Kingdom

Format
Full time
Duration
12 months

Interested in tackling changes in the financial market in a mathematically sound manner? In our post-graduate master's in Financial Mathematics programme, you will focus on the tools that allow you to develop pricing models, to check and test the robustness of the models based on current dataset and monitor your projects overtime.

Consequently, emphasis is given to stochastic modelling and simulation techniques. You will also acquire a sound knowledge of econometrics, asset pricing, risk management and key financial securities such as equities, fixed income products and derivatives. Finally, you will master advance programming skills in Python and Matlab.

Admission requirements

Age
19 / 40 (Min / Max)
Work experience (years)
40 (Max)

Accreditations

AACSB AMBA EQUIS

Campus

Address: London, United Kingdom