The depth of maths taught in our financial mathematics master’s will give you the skills you need to succeed in the finance sector. It is also the ideal preparation if you want to pursue a research career in stochastic analysis, financial mathematics and other relevant areas.
The Financial Mathematics programme is designed to provide you with the strong mathematical skills, computational techniques and finance background needed to work in the financial sector. It could also open up careers in investment banking, hedge funds, insurance companies and the finance departments of large corporations.
A 2:1 honours degree (or equivalent international qualification) in Mathematics, Engineering or Science with a high mathematical content (50% of academic modules must be mathematically related).
For fees and funding options, please visit website to find out more.
There are lots of options available to you to fund your master’s programme, from alumni bursaries to school and department scholarships and government loans.
A master’s in Financial Mathematics may lead to a wide range of employment within industry, the financial sector and research establishments. It also provides an ideal foundation for postgraduate research in stochastic analysis, probability theory, mathematical finance and other relevant areas.
Our graduates have been able to pursue rewarding careers with analyst roles in business, finance, data and risk.
Recent graduate destinations include:
Semester 1
Compulsory Modules
Optional Modules
Semester 2
Compulsory Modules
Optional Modules
Summer
Compulsory Module
Postgraduate funding opportunities at Loughborough University Loughborough is an internationally renowned university, offering an exciting range of ta...