Through this course of study, you will develop:A deep understanding of financial markets. A cutting-edge preparation on machine learning methods and their use for financial applications. Programming skills with state-of-the-art languages such as Python and R. The ability to implement a systematic and independent assessment of forecasting methods and their economic value. A wide array of quantitative methods for the analysis of risks and returns within the context of investment decisions
A 2:1 or above at undergraduate level in any subject, provided there is a strong quantitative background in Statistics and Mathematics. IELTS 6.5 overall including 6.0 in Writing, and 5.5 in Reading, Listening and Speaking.
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