伯明翰大学数学金融学专业 项目网站

Mathematical Finance

英国 公立 商科

项目背景

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更新时间:2024-01-15

专业排名151

大学伯明翰大学

开学时间9月

课程学制1年

学费27270.00/GBP

专业介绍

This programme, offered by the School of Mathematics, provides the skills that will enable technically able graduates (including in mathematics, science and engineering) to apply their quantitative training to financial analysis. Mathematical Finance is a multidisciplinary field that involves the application of economic theory, mathematics, statistics and computer programming skills, to analyse and manage financial opportunities. Our MSc in Mathematical Finance develops your understanding of contemporary mathematical models and their application in the financial sector, whilst providing the flexibility to tailor your degree with optional modules in areas that interest you. You will take core modules in mathematical finance and stochastic processes, and then choose from topics offered by the School of Mathematics, the Department of Economics, and the School of Computer Science. This programme will support you to achieve the highest levels in mathematical finance, developing the most advanced computational and programming techniques. With the skills and knowledge developed on this course you will be well-placed to advance quickly in a field where there is a growing global shortage of highly qualified people.

推荐顾问

世界排名

2020年

151

2019年

151

2018年

101

2017年

101

语言要求

类型
雅思
托福
PTE
Listen
5.5
19
59
Speak
5.5
21
59
Read
5.5
19
59
Write
5.5
19
59
总分
6
80
64

学术要求

数学或含高级数学科目的专业,如物理,工程等

课程设置

Core modules:核心模块 Advanced Mathematical Finance :高级数学金融 Stochastic Processes :随机过程 Mathematical Finance Dissertation :数学金融论文 Postgraduate Taught Knowledge Exchange Pathway:研究生教授的知识交流途径 Optional modules:可选模块 Mathematical Finance:数学金融 Theory of Finance:金融理论 Advanced Management Mathematics :高级管理数学 LM Machine Learning and Intelligent Data Analysis :LM机器学习与智能数据分析 LM Methods in Partial Differential Equations:偏微分方程中的LM方法 LM Nonlinear Programming I and Heuristic Optimisation :LM非线性规划I与启发式优化 LM Numerical Methods and Numerical Linear Algebra :LM数值方法和数值线性代数 Statistical Methods in Finance and Economics :金融学和经济学中的统计方法 Experimental and Behavioural Economics :实验和行为经济学 Risk, Uncertainty and Information:风险、不确定性和信息

申请案例

学生姓名:孟**

毕业学校:Beijing Jiaotong University

本科专业:Statistics

基本背景: /GPA81/100/雅思6.5