Mathematical Finance
University of York · England · MSC-MATHEMATICAL-FINANCE
Mathematical Finance is a Postgraduate taught degree at University of York, England, typically 1 year of full-time study. It covers areas like financial markets, finance, mathematical economics, international finance, financial mathematics, econometrics. The summary below is compiled from public course information — approximate, not official.
University of York
Postgraduate taught
1 year
£15,350
What you'll study in Mathematical Finance
Example subjects: Financial Instruments, Banking and Financial Services, Derivatives Pricing, Domestic and International Portfolio Management, Applied Econometrics 1, Applied Econometrics 2, CS126-15 (22/23), CS241-15 (26/27), CS255-15 (25/26), CS267-15 (26/27), CS301-15 (22/23), CS331-15 (20/21).
Frequently asked questions
How long is Mathematical Finance?
Mathematical Finance at University of York is typically 1 year of full-time study. Approximate — confirm with the university.
What will I study in Mathematical Finance?
Mathematical Finance covers areas like software-fundamentals, chemistry, coding, programming, mathematical-economics, financial-mathematics, inclusive-teaching, financial-markets.
How much does Mathematical Finance cost?
Indicative domestic fees for Mathematical Finance are around £15,350 (approximate, usually per year). International fees differ — confirm with the university.
Who offers Mathematical Finance?
Mathematical Finance is offered by University of York, England, and 2 other universities.
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Sources: University of York public course catalogue. Information is compiled and summarised — not copied verbatim — and is approximate; always confirm with the original source.
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