Financial Mathematics MSc
Queen Mary University of London ยท England ยท P900217
Financial Mathematics MSc is a Postgraduate degree at Queen Mary University of London, England. It covers areas like financial markets, financial mathematics, machine learning, risk modelling, business strategy, property finance. The summary below is compiled from public course information โ approximate, not official.
Queen Mary University of London
Postgraduate
What you'll study in Financial Mathematics MSc
Example subjects: Trading Strategies, Risk Management for Banking, Bond Market Strategies, Credit Ratings, Private Equity and Venture Capital, Digital and Real Asset Analytics, Neural Networks and Deep Learning, Forecasting with AI, Bayesian Statistics, Machine Learning with Python, Advanced Derivatives Pricing and Risk Management, Programming in C++ for Finance.
Frequently asked questions
What will I study in Financial Mathematics MSc?
Financial Mathematics MSc covers areas like financial-mathematics, deep-learning, machine-learning, financial-markets, risk-modelling, statistical-computing, statistical-learning, applied-statistics.
Who offers Financial Mathematics MSc?
Financial Mathematics MSc is offered by Queen Mary University of London, England.
Considering Financial Mathematics MSc?
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Sources: Queen Mary University of London official course page. Information is compiled and summarised โ not copied verbatim โ and is approximate; always confirm with the original source.
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