Rigorous introduction to the tools of mathematical finance such as measure theory and stochastic calculus.
An appropriate Bachelors degree with a minimum of 60% for each Mathematics/Applied Mathematics module on third-year level.
In the selection procedure the candidate’s complete undergraduate academic record will be considered. Real analysis on 3rd year level and Linear algebra on 2nd year level are required.
Please note that there is a limited intake of new students each year.
The final approval is granted by the Faculty Postgraduate Committee.