伯明翰大学Mathematical Finance MSc数学金融专业主要侧重在计量金融,风险分析,C++ for Finance 等课程上,也有一些金融银行或经济等课程可选,比较适合数学背景,金融背景,工程类背景的同学申请,学校比较重看数学课程分数,所以数学渣慎选。
英国伯明翰大学数学金融硕士专业申请条件
这个专业适合那些具有很强的专业背景学生申请,这些专业包括数学专业,包含高等数学等相关数学专业领域。这些申请人立志从事利用数学、程序等来分析经济和金融领域的问题。学生的成绩需要在二等一以上的学位。雅思6.5,单项6
英国伯明翰大学数学金融硕士课程设置
第一学期:必修课
Econometrics with Financial Applications (15+)
Introduction to quantitative finance (10+)
Computational Methods and Frontiers (10+)
Risk Analytics (10)
C++ for finance (10+)
选修课:
International Banking and Finance (20)
Macroeconomics (20+)
Multicriteria Decision Making (10)
Nonlinear Programming I (10)
Topics in Money and Banking (10)
Integer Programming (10)
第二学期:必修课
Econometrics with Financial Applications (+15)
Exotic options, bonds and further quantitative finance (+10)
Computational Methods and Frontiers (+10)
C++ for finance (+10)
选修课:
Economics of Financial Markets (20)
Macroeconomics (+10)
Non-Linear Programming II (10)
Combinatorial Optimisation (10)
Conic optimization (10)
Heuristic Optimisation (10)
Research Frontiers in Management Mathematics (10)
Security Analysis and Portfolio Theory (20)