Course Overview
Course Overview This MSc in Quantitative Finance equips students with the advanced quantitative tools required to analyze financial markets, forecast prices, and manage risk, even without a prior background in finance. The program blends rigorous theoretical foundations with practical application, opening doors to high-powered careers in asset management and quantitative analysis. Key Program Highlights Master forecasting models and econometrics to predict returns, prices, and volatility Gain a deep understanding of asset pricing, risk management, and stochastic modeling Analyze key financial securities including equities, fixed income, and derivatives Develop advanced programming skills in essential industry languages like Python and Matlab Prepare for a career as a quantitative analyst or a role in asset management
Available Intakes
September 2026
CampusCSGUL Moorgate Campus
CityLondon
ModeFullTime
Duration12 Months
FeeGBP 31,000