Course Overview
Course Overview This interdisciplinary program combines rigorous mathematical training with a deep theoretical understanding of finance, preparing graduates for highly sought-after careers in the financial sector. You will master advanced techniques in derivatives pricing, risk management, and portfolio analysis through research-led teaching from world-class experts. The course is designed to be both innovative and challenging, making its graduates exceptionally attractive to a wide range of employers from investment banks to insurance firms. Key Program Highlights Master advanced financial techniques including derivatives pricing and quantitative risk management. Learn from experts through research-led teaching in a £2.8 million facility with state-of-the-art equipment. Gain a highly desirable skill set that makes graduates attractive to banks, investment firms, and insurance companies. Benefit from exceptional flexibility with a wide range of optional modules to tailor your degree. Receive dedicated career guidance to help you make the best choices for a successful future in finance.
Available Intakes
September 2026
CampusExeter Campus
CityExeter
ModeFullTime
Duration36 Months
FeeGBP 21,450