Course summary
The Financial Risk Management MSc at UCL provides students with advanced knowledge of programming and computing skills in mathematical, statistical, and computational modelling. Students will develop a clear appreciation of different types of risk within the industry, and of the managerial issues related to risk control.
Entry requirements
A minimum of an upper second-class UK Bachelor's degree (or an international qualification of an equivalent standard) in a relevant discipline with a strong quantitative component evidenced by good performance in mathematics and statistics examinations. Good performance is defined as scores in these subjects not falling below a UK upper second-class or international equivalent level. There is not an exhaustive list of relevant disciplines, but individuals with a background mathematics, statistics, physics, 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
Additional fee information
Provider information
UCL (University College London)
Gower Street
London
WC1E 6BT