This programme applies advanced mathematics to real-world financial applications. You’ll study the mathematical theories that drive our financial markets and learn the quantitative methodologies and the computational tools that are essential in investment banking and other financial careers.The curriculum covers a broad variety of topics in financial mathematics, including credit risk theory, stochastic processes and computational methods in finance. You can also choose from options in areas such as derivatives modelling, financial risk analysis, time series analysis, portfolio management and international finance.You’ll develop industry-focused skills, including logical reasoning, quantitative analysis and technical presentation. Our graduates land high-earning roles in financial services, technology, accounting and data management.This degree programme is run by the Department of Mathematics but taught in collaboration with the Departments of Finance and Statistics – giving you the benefit of multidisciplinary expertise and insights.
Which department am I in?
Mathematics
Study options
Full Time
(10 Months)
Tuition fees
£4,190.00 (4,56,526)
Month
This is a fixed fee
Start date
September 2027
Venue
London School of Economics and Political Science, University of London
Houghton Street,
London,
Greater London,
WC2A 2AE, Southern England, United Kingdom
Entry requirements
For international students
Upper second class honours (2:1) degree or equivalent in a mathematically-based subject, or a scientific, engineering or social science subject with an excellent mathematics background.
*There may be different IELTS requirements depending on your chosen course.