项目背景
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更新时间:2024-09-27
开学时间9月
课程学制1年
学费28000.00/GBP
专业介绍
This MSc Financial Mathematics programme will equip you with the mathematical and computational skills required in the finance and insurance industries.
- Probability theory, stochastic analysis and mathematical modelling
- Computational methods
- Financial derivatives
- Risk management
- Econometrics
This program is ideal for professionals with mathematical background who would like to start, or further develop a career in the finance and insurance industries. It is also an excellent training ground for students wishing to embark upon a research degree (PhD) in financial or actuarial mathematics.
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语言要求
Write
5.5
17
59
总分
6.5
88
61
学术要求
专业领域:不明确。
去年的要求为:相关专业(如数学、数学科学、金融数学、金融数学、计算机科学、工程学)+含微积分、线性代数、概率论和统计学,微分方程、实数和复杂分析、数值方法、运筹学、投资组合理论、风险管理和随机过程。
课程设置
Compulsory modules:必修模块
ECONOMETRIC AND STATISTICAL METHODS:计量经济学和统计方法
PROBABILITY ESSENTIALS FOR FINANCIAL CALCULUS:金融微积分的概率要点
STOCHASTIC MODELLING IN FINANCE:金融中的随机建模
Game Theory with Applications:博弈论及其应用
FINANCIAL AND ACTUARIAL MODELLING IN R :R中的财务和精算建模
INTEREST RATE THEORY:利率理论
STOCHASTIC ANALYSIS AND ITS APPLICATIONS:随机分析及其应用
Applied Macroeconometrics:应用宏观计量经济学