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GRADUATE SCHOOL OF NATURAL AND APPLIED SCIENCESMASTER OF FINANCIAL MATHEMATICS
Program Overview 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. Aim of Masters in Financial Mathematics This one year program is aimed at students with a strong mathematical background and provides one of the most thorough and stimulating preparations for a career in finance available. By the end of it you will be uniquely well qualified to find employment in business or academic world.
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