MSc Mathematical Finance
Coventry , United Kingdom
Format
Full timeDuration
12 monthsStart date
20 September, 2027Application deadline
02 August, 2027This distinctive course draws on the fused expertise of two top departments at Warwick: Statistics and WBS. You'll gain a powerful, interdisciplinary foundation in machine learning, computational statistics, and mathematical finance, equipping you with the quantitative tools that drive innovation in financial markets and institutions.
Whether you're aiming for a career in investment banking, risk management, quantitative analysis, or fintech, this programme prepares you to thrive in high-performance environments where precision and insight are paramount. It's not just about mastering formulas, it's about shaping the future of finance through data-driven decision-making and mathematical excellence.
Build on your mathematical background to gain both a deep theoretical and conceptual knowledge of finance, together with the requisite high-level probability, statistics and mathematics, to enable you to undertake advanced quantitative modelling. The lab work will give you hands-on experience of using software packages for simulations and time series analysis, as well as learning programming for quantitative finance in three core languages: Python, C++ and R.
Benefits
- Learn from two of Warwick's top academic departments through a rare interdisciplinary approach to financial mathematics.
- Explore advanced quantitative theory and practical applications through specialist modules.
- Receive tailored careers support from finance industry experts.