Course summary
Finance is driven by technology. Becoming an expert in both will enable you to thrive in risk management roles in the financial sector. Our Financial Risk Management MSc brings together traditional theories in finance, data analytics, quantitative and computational modelling techniques – designed to produce talented practitioners in this field.
Entry requirements
A minimum of an upper second-class UK bachelor's degree (or international qualification of an equivalent standard) in a relevant discipline with a strong quantitative component evidenced by good performance in mathematics and statistics exams, i.e. with marks in these subjects not below a UK upper second-class or international equivalent level. There is not an exhaustive list of relevant disciplines, but individuals with a background in mathematics, physics, statistics, computer science, engineering, economics, or finance are encouraged to apply. English level: Level 2
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
UCL (University College London)
Gower Street
London
WC1E 6BT