This Masters degree provides you with knowledge of advanced finance concepts, whilst developing your quantitative, mathematical and research skills. You’ll cover key topics including financial derivative pricing, discrete and continuous time models, risk management and portfolio optimisation, as well as statistical methods for finance. Combining the latest financial knowledge with sound mathematical methods, you’ll gain skills and knowledge that are highly sought after in the financial sector, particularly by banks, investment and consultancy companies. It’s also excellent preparation if you’re interested in pursuing further research. This course is ideal if you’ve previously studied finance, economics, mathematics, physics or computing, and are interested in applying your skills to financial markets.
Financial Mathematics MSc
SKU: SKU16GOUNIVERSITYm
€14,000.00 Regular Price
€5,600.00Sale Price