MSc in Statistics with Financial Mathematics offered by The University of Sheffield
- Public University
- 1 Campus
- Estd. 1897
MSc in Statistics with Financial Mathematics at The University of Sheffield Overview
MSc in Statistics with Financial Mathematics
at The University of Sheffield
Complete your statistics training while studying the mathematical concepts, models and tools of the finance industry
Duration | 24 months |
Start from | Start Now |
Total fee | ₹27.56 Lakh |
Mode of learning | Online |
Official Website | Go to Website |
Course Level | PG Degree |
MSc in Statistics with Financial Mathematics at The University of Sheffield Highlights
MSc in Statistics with Financial Mathematics
at The University of Sheffield
- Earn a master's degree from The University of Sheffield
- Learn from industry experts
MSc in Statistics with Financial Mathematics at The University of Sheffield Course details
MSc in Statistics with Financial Mathematics
at The University of Sheffield
Skills you will learn
Who should do this course?
- Individuals who have completed undergraduate degrees in mathematics, statistics, or related fields
What are the course deliverables?
- Develop a deep understanding of advanced mathematical concepts including calculus, linear algebra, probability theory, and differential equations, crucial for financial modeling and analysis
- Master statistical techniques such as regression analysis, time series analysis, stochastic processes, and Bayesian statistics, applied specifically to financial data and modeling
- Gain a comprehensive understanding of financial markets, instruments, and institutions, including equities, fixed income securities, derivatives, and alternative investments
- Acquire proficiency in quantitative methods used in finance, including risk management, portfolio optimization, asset pricing, and financial engineering
More about this course
- The course trains you to apply the probabilistic, statistical and mathematical techniques that are used in the finance industry
- It's based on our Statistics MSc course, but also includes key financial topics such as the Capital Asset Pricing Model, the Black-Scholes option pricing formula and stochastic processes
- You’ll also develop a detailed working knowledge of more general statistical techniques and concepts, including linear and generalised linear modelling, Bayesian statistics, time series and machine learning
MSc in Statistics with Financial Mathematics at The University of Sheffield Curriculum
MSc in Statistics with Financial Mathematics
at The University of Sheffield
Year one:
Financial Mathematics
Machine Learning
The Statistician's Toolkit
Time Series
Year two:
Stochastic Processes and Finance
Bayesian Statistics and Computational Methods
Dissertation
MSc in Statistics with Financial Mathematics at The University of Sheffield Entry Requirements
MSc in Statistics with Financial Mathematics
at The University of Sheffield
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MSc in Statistics with Financial Mathematics at The University of Sheffield Contact Information
MSc in Statistics with Financial Mathematics
at The University of Sheffield
Address
The University of Sheffield
Western Bank
Sheffield S10 2TN
UK
Sheffield ( South Yorkshire)
Phone
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