This Quantitative Finance and Risk Management MSc will develop your understanding of generalist finance issues. You'll also develop specialist practical skills in quantitative methodology and risk management. Worldwide growth in the financial services sector has fuelled the demand for graduates with a sound understanding of generalist finance issues, combined with specialist skills in quantitative methodology and risk management. This course meets this demand. It builds on the Business School s established strengths in economics and finance.
A 2:1 honours degree, or an international equivalent. You also need to show a firm grasp of: basic calculus, probability theory, statistical inference, IELTS 6.5 overall (with a minimum of 6.0 in all sub-skills). Transcripts and Personal Statement
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