This unique course provides training from three top departments at the University of Warwick: Mathematics, Statistics and Warwick Business School. Building on your strong mathematical background, you will develop and apply the quantitative skills in machine learning, computational statistics and mathematical finance that are used within the financial markets and finance industry. Our compulsory modules focus on the four elements of the core skill set needed for careers in finance: Financial Statistics, Financial Mathematics, Asset Pricing and Risk, and Simulation and Machine Learning for Finance. In line with these modules you’ll also learn programming for Quantitative Finance, focusing on C, Python, and R.
في أي قسم أنا؟
Warwick Business School
خيارات الدراسة
دوام كامل
(1 عام )
رسوم التسجيــل
£41,540.00 (US$ 53,646)
سنوياً
هذه رسوم مؤقتة قيد القبول
تاريخ البدء
سبتمبر 2027
مكان عقــد الدورة
University of Warwick
University of Warwick,
Coventry,
West Midlands,
CV4 7AL, Central England, United Kingdom
شروط القبول
للطلاب الدوليين
A 2:1 in BSc Financial Mathematics (or similar), BSc Mathematics, or BSc Statistics. You will need strong ability in mathematics and finance, and some experience in statistics or econometrics.
قد يكون هناك متطلبات أيلتس مختلفة بناء على التخصص المحدد.