Financial mathematics is for students or professionals with a strong mathematical background. Covers principles and techniques of quantitative finance to prepare you for advanced work in the financial sector or research in mathematical finance. Full- or part-time study. Our graduates are highly sought after.
KEY BENEFITS
- Course spans an entire range of topics from fundamental mathematics through to applied computation.
- Asset classes covered include equity, foreign exchange fixed income and credit.
- Full accredited master's programme in an environment close to the City of London, with study on a part-time or full-time basis.
KEY FACTS
Programme leader/s
Professor Damiano Brigo
Awarding institution
King's College London
Credit value (UK/ECTS equivalent)
UK 180/ECTS 90
Duration
One year FT, two years PT, September to September.
Location
Strand Campus.
Student destinations
Our graduates are highly sought after by investment banks, corporate risk management units, insurance companies, fund
management institutions, financial regulatory bodies, brokerage firms, and trading companies. Some graduates have pursued research degrees in financial mathematics.
Year of entry 2012
Offered by