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34 Financial Mathematics Masters Degree Programs


Promoted
The University of North Carolina at Charlotte
Mathematical Finance, M.S., and Economics, M.S., Dual Degree
- Charlotte, USA
Master degree, MSc
Full time
2 years
On-Campus
English
The Belk College of Business at UNC Charlotte offers a dual degree program where students can earn both an M.S. in Mathematical Finance and an M.S. in Economics. This program equips students with advanced skills in quantitative finance, risk management, econometrics and economic modeling.


Promoted
Linnaeus University
Master in Mathematics and Modeling. Specialization: Mathematical Statistics and Financial Mathematics
- Växjö, Sweden
Master degree
Full time
2 years
On-Campus
English
This program will suit anyone who is interested in mathematics and wants to apply his or her skills to problem-solving and for creating new mathematical models. It also gives you the possibility to start an academic career. In Mathematical Statistics and Financial Mathematics, you study courses in mathematics but you also train stochastic thinking and statistic skills. It contains courses in e.g. probability theory, stochastic analysis, insurance mathematics, and financial modeling.


Promoted
Vilnius University
Master in Financial and Actuarial Mathematics
- Vilnius, Lithuania
Master degree
Full time
3 semesters
On-Campus
English
The study program provides a high-profile education in financial and actuarial mathematics, with an emphasis on the theoretical foundations of various methods and techniques in probability theory, stochastic analyses, risk theory, and related fields. Graduates of the programme are qualified to analyse and solve problems in theoretical models of finance and insurance, with the implementation of their obtained solutions in practice.


Dublin City University
MSc in Financial Mathematics
- Dublin, Ireland
MSc
Full time, Part time
1 year
On-Campus
English
DCU's MSc in Financial Mathematics equips you with the skills and knowledge needed for careers in quantitative finance and insurance. You'll master mathematics, finance fundamentals, pricing, hedging, portfolio optimization, risk management, data analysis, and machine learning, giving you a competitive edge in the financial sector.


University College London (UCL)
Financial Mathematics MSc
- London, United Kingdom
MSc
Full time, Part time
1 year
On-Campus
English
The MSc in Financial Mathematics is designed to give students a solid understanding of the mathematical and statistical tools used in finance. The program covers key topics like stochastic processes, financial derivatives, risk management, and numeri…
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ISCTE Business School – Instituto Universitário de Lisboa
MSc in Financial Mathematics
- Lisbon, Portugal
Master degree
Part time
2 years
On-Campus
Portuguese
The Master in Financial Mathematics is a post-employment master's program, lasting two years and taught in Portuguese, which seeks to provide specialized training in the application of the theory of stochastic and differential calculus to concrete problems in the financial markets. This Master is taught in partnership with the Faculty of Sciences of the University of Lisbon.


ISEG - Lisbon School of Economics & Management
Fast-track counseling
Masters in Mathematical Finance
- Lisbon, Portugal
Master degree
Part time
3 semesters
On-Campus
English
Fast-track counseling
The Masters in Mathematical Finance is designed to further the education in quantitative finance of students who already have a Bachelors degree in Mathematics, Statistics, Physics, Economics, Finance or Management.


The University of North Carolina at Charlotte
Mathematical Finance, M.S., and Banking and Finance, LM, Dual Degree
- Charlotte, USA
Master degree, MSc
Full time
2 years
On-Campus
English
The M.S. in Mathematical Finance and Laurea Magistrale (LM) in Banking and Finance dual degree program is designed for analytical thinkers ready to excel in the global financial industry. This unique program, a collaboration between UNC Charlotte and Università Cattolica del Sacro Cuore, combines rigorous coursework in risk management, financial theory and international finance.


The University of North Carolina at Charlotte
Mathematical Finance, M.S., and Finance, Master's, Dual Degree (SUFE)
- Charlotte, USA
Master degree, MSc
Full time
3 years
On-Campus
English
The M.S. in Mathematical Finance and Master’s in Finance Dual Degree program, offered by UNC Charlotte and Shanghai University of Finance and Economics (SUFE), equips students with advanced financial skills and global expertise. Students spend the first year at SUFE in Shanghai, the second year at UNC Charlotte and the third year back at SUFE in Shanghai.


The University of North Carolina at Charlotte
Mathematical Finance, M.S.
- Charlotte, USA
MSc
Full time, Part time
12 months
On-Campus
English
The M.S. in Mathematical Finance program is designed for problem-solvers with the analytical skills to navigate today’s financial services industry. This nationally-ranked program, a joint effort of the Belk College of Business and the Klein College of Science, prepares you for a career in quantitative finance.


The University of North Carolina at Charlotte
Mathematical Finance, M.S., and Business Administration, MBA, Dual Degree
- Charlotte, USA
MBA, MSc
Full time, Part time
3 years
On-Campus
English
The M.S. in Mathematical Finance and MBA Dual Degree program at the Belk College of Business equips students with advanced skills in both quantitative finance and business leadership. This 54-credit hour program, a collaboration between the Belk College of Business and the Klein College of Science, prepares graduates for high-demand roles in financial institutions, investment banks and beyond. Students benefit from shared coursework, gaining a comprehensive education that bridges finance and business administration.


Aarhus University
MSc in Mathematics – Economics
- Aarhus, Denmark
MSc
Full time
2 years
On-Campus
English
MSc in Mathematics-Economics has taught you about how rates for a new mortgage loan should be fixed – with an interest-rate ceiling or as interest-only loans. In fact, it was mathematics–economics graduates who developed the model used for fixing the cost of such loans. All major companies face complex problems, and many turn to mathematics–economists when they do.


University of Minnesota
Financial Mathematics M.F.M.
- Minneapolis, USA
Master degree
Full time
On-Campus
English
The Master of Financial Mathematics (M.F.M.) program provides students with a comprehensive education in quantitative finance, combining advanced mathematical theories with practical financial applica...


Izmir University of Economics
Master in Financial Mathematics
- Izmir, Turkey
MSc
Full time
2 years
On-Campus
English
Financial Mathematics is the branch of applied mathematics concerned with the financial markets. It overlaps heavily with the fields of financial engineering and computational finance. Arguably, all three terms are synonymous. The subject naturally has a close relationship with the discipline of financial economics, but financial mathematics is narrower in scope and more abstract.


The London School of Economics and Political Science
MSc Financial Mathematics
- London, United Kingdom
MSc
Full time
On-Campus
English
The MSc in Financial Mathematics is designed to equip students with the mathematical tools and models used in the finance industry. The program covers key topics such as financial derivatives, risk ma...
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Learn more about Financial Mathematics Masters degree programs
Financial Mathematics degree programs at the Master’s level focus on the intersection of finance and quantitative analysis. This discipline equips you with advanced skills to assess risk, make investment decisions, and develop financial models using sophisticated mathematical techniques.
Students explore topics such as stochastic calculus, financial derivatives, and data analysis, which prepare them to solve complex financial issues. The curriculum often includes practical applications, fostering the ability to construct models for pricing options and managing financial portfolios. Engaging with rigorous quantitative methods helps students build confidence as they expand their analytical capabilities in the finance sector.
Through collaborative projects and case studies, you’ll learn to interpret complex data and draw actionable insights. Graduates typically pursue careers as financial analysts, risk managers, or quantitative researchers, where they utilize their expertise to influence financial strategies. The environment encourages intellectual growth, ensuring you're well-prepared for the evolving finance landscape.