📖Program Curriculum
The MSc Mathematics and Financial Modelling offers you the opportunity to increase your knowledge and abilities in pure, applied and financial mathematics. A wide choice of modules allows you to study several different topics in depth and to focus on the areas that interest you most.
You will learn key mathematical research skills and methods, including how to conduct a literature search, how to read mathematical papers, and how to communicate your ideas and findings, both in writing and orally. The course includes a dissertation that allows you to engage in a sustained investigation of an area that interests you within statistics and/or finance, implementing what you have learned from the taught modules on the course and combining this knowledge with new research and analysis.
You will also acquire the skills to pursue your interests in mathematics and financial modelling to a higher level and beyond the classroom, whether for a formal MPhil/PhD research degree, for your career, or simply because you have a passion for the subject.
Our students really appreciate the flexibility of this course and the valuable support and direct interaction (face-to-face or online) with experienced lecturers who are also active researchers at the forefront of their discipline.
Whichever route you decide to take with our MSc Mathematics and Financial Modelling, you will gain access to resources for each module via our Moodle virtual learning environment, for example, typed lecture notes with worked examples and practice exercises, recordings of lectures, opportunities for interaction with lecturers and classmates via discussion forums or through our online teaching platform, Blackboard Collaborate. You will also have access to electronic textbooks and other digital resources via the library. In the past we have had students successfully complete our modules remotely from as far away as Antarctica!
Show less Show more