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GB (GBR) - United Kingdom Masters On-Campus

Master of Science in Statistics with Financial Mathematics

University of Sheffield

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Course code
6B75228E89
Duration
12 months
Language
English
Institution type
Private
Institution profile
Course overview

Our Statistics with Financial Mathematics MSc trains you to apply the probabilistic, statistical and mathematical techniques that are used in the finance industry. In addition to a variety of statistical techniques, we’ll cover key financial topics such as the Capital Asset Pricing Model, the Black-Scholes option pricing formula and stochastic processes. You’ll develop a detailed working knowledge of important statistical techniques and concepts, including linear and generalised linear modelling, Bayesian statistics, time series and machine learning. You’ll learn how to analyse and draw meaningful conclusions from data, and develop your programming skills using the statistical computing software R. Around one-third of the course is devoted to your dissertation. This may focus on investigating a data set, or a more theoretical or methodological topic. You’ll gain skills to help you stand out in the graduate job market, such as planning and researching a project, data acquisition, problem specification, analysis and reporting your findings. External clients, such as pharmaceutical companies or sports modelling organisations, often provide dissertation topics. Distance learning students often come with projects designed by their employer.

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Entry snapshot

Language requirements
IELTS
Minimum score on request
63981ff6a0844ae27fc08a21
Academic requirements
Bachelors
Qualification review required
63982080a0844ae27fc0a93a