Financial Mathematics

Brunel University of London

Postgraduate MSc Full-time 1 Year

Financial Mathematics MSc is a postgraduate degree at Brunel University of London, based in Uxbridge, taught full-time over 1 year. 82% of final-year students rated the course positively in the National Student Survey.

Student Satisfaction

81.52%

NSS · Office for Students

About this course

Financial mathematics builds on the application of advanced concepts in modern probability theory to enable market professionals to tackle and systematically resolve a huge range of issues in the areas of pricing, hedging, risk management, and market regulation.

On this course you’ll put theory into practice by developing your numerical and computational skills to implement financial models. These are the skills you’ll need to work for a financial institution.

The course has an emphasis on:
- the modelling of the dynamics of financial assets, both in equity markets and in fixed-income markets

- the pricing and hedging of options and other derivatives

- the quantification and management of financial risk.

The course will give you a balanced mixture of advanced mathematics (including modern probability theory and stochastic calculus), modern finance theory (including models for derivatives, interest rates, foreign exchange, equities, commodities, and credit), and computational technique (GPU-based high-performance computing).

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Course Details

Qualification
MSc
Study Mode
Full-time
Duration
1 Year
Start Date
2025

2025-entry data — 2026 offers may differ

Academic Year
2025
Campus / Location
Uxbridge
Scheme
Postgraduate