MSc Degree in Financial Mathematics in Asia

Top Masters of Science in Financial Mathematics in Asia 2018/2019

Financial Mathematics

The Master of Science, or MSc, is an academic degree awarded to those who effectively complete about two years of intensive study on a given topic. Many MSc courses offer a combination of classroom and research-based curriculum.

 

Students of financial mathematics might expect to encounter subjects such as probability and linear algebra. These analytical tools are often used by professionals who need to understand the behavior of markets, such as consultants, accountants and bankers.

Students who complete a part of their degree in Asia are growing in numbers. Currently, the second and the third biggest economies are in Asia. Without limitation, students have described their time in Asia as the best experience of their lives. Today, three of the four most populated countries of the world are in Asia: China, India, and Indonesia.

MSc Degree in Financial Mathematics in Asia

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MSc Financial Mathematics

Xi'an Jiaotong-Liverpool University
Campus Full time 18  September 2018 China Suzhou

The objective of MSc in Financial Mathematics is to provide advanced analytical training, quantitative knowledge and practical skill-sets required by modern financial institutions. [+]

Overview

The MSc Financial Mathematics programme provides you with advanced analytical training, quantitative knowledge and the practical skill sets required by modern financial institutions. It aims to equip you with a solid education in financial analysis, risk management and financial engineering for a successful career in the finance and banking industries. It is heavily weighted towards advanced mathematics and programming modules designed with practical applications in mathematical and quantitative finance.

Graduates of this programme, as with all XJTLU masters degrees, earn a University of Liverpool degree that is recognised by the Chinese Ministry of Education.

Knowledge and skills... [-]


Master in Financial Mathematics

Izmir University of Economics
Campus Full time September 2018 Turkey Izmir

Financial Mathematics is the branch of applied mathematics concerned with the financial markets. It overlaps heavily with the fields of financial engineering and computational finance. Arguably, all three terms are synonymous. The subject naturally has a close relationship with the discipline of financial economics, but financial mathematics is narrower in scope and more abstract. [+]

Financial Mathematics is the branch of applied mathematics concerned with the financial markets. It overlaps heavily with the fields of financial engineering and computational finance. Arguably, all three terms are synonymous. The subject naturally has a close relationship with the discipline of financial economics, but financial mathematics is narrower in scope and more abstract. A central difference is that while a financial economist might study the structural reasons why a company may have a certain share price, a mathematician or financial engineer may take the share price as a given, and attempt to use stochastic calculus to obtain the fair value of derivatives of the stock.

Financial Mathematics is a flourishing area of modern science. Its numerous applications have become vital to the day to day functioning of the world’s financial institutions. As a consequence, a solid command of the principles and techniques of quantitative finance is essential for a responsible approach to the trading, asset management, and risk control of complicated financial positions.... [-]