Newcastle University Business School
Quantitative Finance and Risk Management MSc
Newcastle, United Kingdom
Format
Full timeDuration
12 monthsStart date
15 September, 2025
Our Quantitative Finance and Risk Management MSc will develop your understanding of generalist finance issues. You'll also develop specialist practical skills in quantitative methodology and risk management. Develop your career in financial services, or as a quantitative analyst in investment banking and risk management fields. On this course, you will have the opportunity to gain an understanding of the operation and behaviour of international finance markets, the role of finance in the modern economy, and how to analyse the strategies of financial market investors. We are recognised by the Chartered Banker Institute (CBI) as a Centre of Excellence for providing high standards of degree education available for banking and related topics. Read more about this course in our postgraduate 2025 entry prospectus.
Learn more
Browse other programs by Newcastle University Business School
Full-time MBA
Entrepreneurship, Innovation and Sustainability MSc
International Marketing MSc
Finance MSc
Banking and Finance MSc
Accounting, Finance and Strategic Investment MSc
Global Human Resource Management MSc
Operations, Logistics and Supply Chain Management MSc
Business Analytics MSc
Digital Marketing MSc
Sustainability Management MSc
Digital Business (E-Commerce) MSc
Digital Business MSc
Economics and Finance MSc
Management MSc
Behavioural and Experimental Economics MSc
Economics MSc
Economics and Data Science MSc
International Business MSc
Accounting, Finance and Financial Analysis MSc
Accreditations
AACSB
AMBA
EQUIS