Why Apply?

The programme aims:
+ to provide graduates with a strong mathematical background with the necessary to apply their expertise to the solution of real finance problems.
+ to provide students with a systematic understanding of core areas in mathematical models, techniques, numerical methods and data analysis in finance as well as source advanced topics in one or more of these areas.
+to develop the students skills to formulate problems from a description in financial language; carry out relevant mathematical and/or statistical analysis; develop an appropriate numerical scheme and/or statistics algorithm and present and interpret these results.
+to lay the foundation for further research or for a career as a quantitative analyst into a financial or other institution