University College London - MSc Financial Mathematics

University College London - MSc Financial Mathematics

University College London - MSc Financial Mathematics
Location
London, UK
Students will develop a detailed understanding of the application of mathematics, statistics and computation to problems in finance, and will gain the necessary practical tools for the pricing, hedging and risk management of a diverse range of financial products in several asset classes.
Director: Daniel Schwarz
2025 Ranking Data
Cohort Size
23 FT, 3 PT
Views
1,528
First release
Last update

Ratings

5.00 star(s) 1 reviews 5.00 star(s) Students Quality 5.00 star(s) Courses/Instructors 4.00 star(s) Career Services

Latest reviews

Headline
Great depth in stochastic modelling and practical programming classes
Class of
2026
Reviewed by Verified Member
Teaching quality is high: proof-heavy modules with practical Python/C++ labs. Professors are knowledgeable and responsive. Careers offered useful employer events such as quant teams from Morgan Stanley and Deutsche Bank etc. Workload is pretty intense but fair, with collaborative peers and responsive faculty. Overall: technically demanding, modern, and career-relevant.
Recommend
Yes, I would recommend this program
Students Quality
5.00 star(s)
Courses/Instructors
5.00 star(s)
Career Services
4.00 star(s)
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