University College London - MSc Financial Risk Management

University College London - MSc Financial Risk Management

University College London (UCL) MSc Financial Risk Management

Location
London, UK
Application deadline
April 4, 2025
The programme is aimed at students with a first degree in mathematics, finance, economics, physics, or computing who wish to gain the skills necessary to work within quantitative risk management. You will be expected to have established competency in probability, statistics, differential equations and the use of a computer to solve numerical problems.

2025 Ranking Data
Cohort Size
42 FT
Acceptance Rate
20.4%
Tuition
£47,100

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