About the Courses
Course details
In your first semester, you’ll develop a broad understanding of corporate finance and how financial theory relates to practice in business and financial markets. This will put your mathematical studies into context, while developing your skills in applied statistics and probability, statistical and machine learning methods and discrete time stochastic processes in finance.
You’ll study topics such as continuous time stochastic processes, risk management and computational methods. You’ll also gain specialist knowledge in topics that suit your career ambitions, such as risk and investment and behavioural finance.
The course will improve your research skills and allow you to explore different research methodologies, including those employed by our own leading academics. This will prepare you for your dissertation – an ind
Course details
In your first semester, you’ll develop a broad understanding of corporate finance and how financial theory relates to practice in business and financial markets. This will put your mathematical studies into context, while developing your skills in applied statistics and probability, statistical and machine learning methods and discrete time stochastic processes in finance.
You’ll study topics such as continuous time stochastic processes, risk management and computational methods. You’ll also gain specialist knowledge in topics that suit your career ambitions, such as risk and investment and behavioural finance.
The course will improve your research skills and allow you to explore different research methodologies, including those employed by our own leading academics. This will prepare you for your dissertation – an independent research project on a topic of your choice that you’ll submit by the end of the year.