22 Master Degrees in Financial Mathematics 2024

Master Degrees in Financial Mathematics 2024Filter
  • MSc Financial Mathematics

    University College Dublin

    • Dublin, Ireland

    Full time

    1 year

    On-Campus

    English

    The MSc in Financial Mathematics is designed for students with an undergraduate degree in Mathematics or a related field, who wish to gain a competitive advantage in the financial sector by acquiring the strong mathematical and statistical background demanded by high-level quantitative roles. The proposed programme will equip students with relevant contemporary knowledge and skills, including new digital innovations such as machine learning with financial applications, computational finance and statistical and data analysis.

  • Masters in Mathematical Finance

    ISEG - Lisbon School of Economics & Management

    • Lisbon, Portugal

    Part time

    3 semesters

    On-Campus

    English

    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.

  • MSc in Financial Mathematics

    University of Sussex School of Mathematical and Physical Sciences

    • Falmer, United Kingdom

    Full time

    1 year

    On-Campus

    English

    Understand the main aspects of quantitative finance – including general finance theory, finance models and programming for graduates with a science, engineering and mathematics background. Our course builds on Sussex’s strong foundation of interdisciplinary research. You’ll be taught by experts from both the Department of Mathematics and the University of Sussex Business School. The course also draws on expertise from industry professionals, so you’ll gain the knowledge and skills to succeed in the fast-paced world of finance.

  • MSE in Financial Mathematics

    Johns Hopkins Whiting School of Engineering

    • Baltimore, USA

    Full time

    2 years

    Distance Learning, On-Campus

    English

    Understanding and navigating today’s rapidly evolving, worldwide economic, and financial landscape is one of society’s most challenging current problems. This master’s program in Financial Mathematics provides you with a distinct opportunity to collect knowledge from across the university from its top-notch business school, economics department, and programs across the Whiting School of Engineering. Guided by distinguished faculty, you will explore probability, statistics, optimization, partial differential equations, and scientific computing.

    • Vilnius, Lithuania

    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.

  • Master in Finance

    Ulm University

    • Ulm, Germany

    Full time

    4 semesters

    On-Campus

    English

    The Master in Finance is a two-year program that offers students the choice between three specializations: Actuarial Science, Financial Economics and Financial Mathematics.

    • Växjö, Sweden

    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.

  • MSc (Mathematics of Finance)

    University of Pretoria - Faculty of Economic and Management Science

    • Pretoria, South Africa

    Full time

    1 year

    On-Campus

    English

    The progress of all master's candidates is monitored biannually by the supervisor and the postgraduate coordinator. A candidate's study may be terminated if the progress is unsatisfactory or if the candidate is unable to finish his/her studies during the prescribed period.

    • Aarhus, Denmark

    Full time

    2 years

    On-Campus

    English

    Have you thought 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 a mathematics-economist to solve them.

  • Master in Mathematics

    University of Luxembourg Faculty of Science, Technology and Medicine

    • Esch-sur-Alzette, Luxembourg

    Full time

    2 years

    On-Campus

    English

    The Master in Mathematics is a flexible high-standard curriculum that is close to the real needs of the students and the job market. Devoted to excellence, it offers a great variety of advanced courses enabling you to choose from three career-driven options.

    • Online Spain
    • Valencian Community, Spain
    • + 2 more

    Full time

    1 year

    Distance Learning

    Spanish

  • MSc Financial Mathematics

    Xi'an Jiaotong-Liverpool University

    • Suzhou, China

    Full time

    On-Campus

    English

    The MSc Financial Mathematics programme provides you with the advanced analytical training, quantitative knowledge and practical skill sets required to operate as a professional in modern financial institutions.

  • Master in Financial Mathematics

    Izmir University of Economics

    • Izmir, Turkey

    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.

    • Cork, Ireland

    Full time

    1 year

    On-Campus

    English

    Our postgraduate Financial and Computational Mathematics programme equips graduates in mathematics, physics, or engineering with the skills necessary to pursue a successful career in quantitative finance. Modern financial technology is based upon sophisticated computational techniques for the modelling of asset and market movements, and the valuation of financial derivatives.

  • MSc in Financial and Computational Mathematics

    University of Nottingham, Faculty of Science

    • Nottingham, United Kingdom

    Full time

    1 year

    On-Campus

    English

    This course focuses on the mathematical modelling and computational techniques used in the financial industry, and on the required background in finance. Financial mathematics is a branch of mathematics where advanced mathematical and statistical methods are developed for and applied to financial markets and financial management. Its main aims are to quantify and hedge risks in the financial marketplace. Effective computational methods are crucial for the successful use of mathematical modelling in finance. This course is designed to reflect this combination of knowledge and skills so that graduates are well equipped to enter the competitive job markets of quantitative finance and related fields. Optional modules equip graduates with foundations of data analytics.