Course summary
Prepare for a wide range of careers in quantitative finance on this varied Master's course. This course will deepen your understanding of major aspects of mathematical finance. You'll explore latest industry practice and research, with regular insights from leading practitioners. The varied programme covers key mathematical foundations, finance principles and tools, and implementation and data analysis. You'll receive training in a range of mathematical, statistical and programming tools required to pursue or advance a career within financial services. You'll also apply your knowledge from the course on a research project. This will be carried out internally or on a placement with a bank, hedge fund or similar financial institution.
Entry requirements
2:1 in mathematics, applied mathematics, statistics or physics. We also accept a wide variety of international qualifications.
Fees and funding
Tuition fees
No fee information has been provided for this course
Tuition fee status depends on a number of criteria and varies according to where in the UK you will study. For further guidance on the criteria for home or overseas tuition fees, please refer to the UKCISA website .
Additional fee information
Provider information
Imperial College London
South Kensington Campus
Kensington and Chelsea
SW7 2AZ