入学要求 Requirement:
学术要求:You should have a good first degree (2:1 or higher) in a relevant subject e.g. accounting, finance, economics, mathematics, physics or computing.
英语要求: IELTS 6 or more in each section and an overall score of 6.5.
学费 Tuition Fee:2011/2012 £14,500
课程特征 Course Features:
Our Financial Mathematics Masters programme has been designed specifically to meet the needs of employers in financial markets across the world.
This programme has been designed so that successful candidates are ‘market-ready’ upon graduation, equipped with the skills and knowledge that are highly sought after in the financial sector particularly banks, investment and consultancy companies.
This Masters programme is also an excellent qualification if you are seeking to pursue further postgraduate study.
Our Financial Mathematics Masters programme is EPSRC recognised.
You will be taught by a highly qualified and experienced academic staff of international standing.
课程内容 Course Content :
Compulsory modules:
Computations in finance
Continuous time finance
Corporate finance
Discrete time finance
Applied statistics and probability
Mathematical review
Risk management
Dissertation route:
Research methods in finance
Mathematics
Dissertation
Plus 2 of the below:
Financial derivatives
Risk & Insurance
Security investment analysis
Portfolio risk management
Non-dissertation route:
Current issues in finance
Optimization methods in finance
Plus 2 of the below:
Financial derivatives
Risk & Insurance
Security investment analysis
Portfolio risk management
Also one option from the below:
Consumer & Corporate Credit
Securities Markets Microstructure
职业前景 Career Prospects:
As a Masters student you will be able to access support from our Postgraduate Career Management Centre, which will help you develop key skills including networking and negotiating, and put you in touch with potential employers.