Course Overview
Course Overview This program equips students with advanced mathematical skills and a rigorous theoretical foundation in finance, focusing on cutting-edge techniques like derivatives pricing and risk management. Graduates are highly sought after by top financial institutions, including investment banks, hedge funds, and insurance companies. The curriculum is designed to be both challenging and innovative, featuring research-led teaching from experts who are actively shaping the field. Key Program Highlights Master advanced quantitative techniques for derivatives pricing and portfolio management Develop expertise in financial risk management strategies Learn from leading academics through research-led teaching Gain a highly desirable skill set for top-tier financial employers Prepare for a career in banking, asset management, or financial advisory
Available Intakes
September 2026
CampusExeter Campus
CityExeter
ModeFullTime
Duration48 Months
FeeGBP 21,450