You’ll learn from experts in both disciplines and you’ll gain a thorough grounding in the theories and techniques that underlie modern mathematics and finance.
The use of industry-standard software (such as MATLAB, Python and R) develops your analytical and modelling skills.
You’ll graduate with the specialist knowledge crucial for success in today’s financial industry.
Language Proficiency Test - IELTS/TOEFL/PTE
Analysis 1
Fundamentals of Mathematics
Linear Algebra 1
Principles of Finance
Analysis 2
Computational Mathematics
Financial Institutions and Markets
Linear Algebra 2
Calculus of Several Variables
Introduction to Probability
Ordinary Differential Equations
Theory of Investments
Corporate and International Finance
Numerical Analysis
Probability and Statistics
Real Analysis
Advanced Numerical Analysis (L.6)
Financial Mathematics (L.6)
Financial Risk Management
Functional Analysis (L.6)
Introduction to Mathematical Biology
Linear Statistical Models
Mathematical Research Project Autumn
Measure and Integration (L.6)
Partial Differential Equations
Probability Models
Topology and Advanced Analysis (L6)
Valuation of Companies and Cash Flow Generating Assets
Advanced Partial Differential Equations (L.6)
Continuum Mechanics
Cryptography (L.6)
Dynamical Systems
Financial Derivatives
International Financial Management
Mathematical Fluid Mechanics (L6)
Mathematical Research Project
Numerical Solution of Partial Differential Equations (L.6)