- Location
- London, UK
In the MSc Mathematical Trading and Finance, you will learn about tools used to develop algorithms for optimal investment decisions across various asset classes, and to monitor and assess trading risk on your ‘books’.
Emphasis is given to quantitative structuring and trading, as well as Machine Learning techniques and you will learn about stochastics modelling. You will also acquire a sound knowledge of asset management and risk management, learn about key financial securities such as equities, fixed income securities and derivatives. Finally, you will master advance programming skills in Python, Matlab and VBA.
Emphasis is given to quantitative structuring and trading, as well as Machine Learning techniques and you will learn about stochastics modelling. You will also acquire a sound knowledge of asset management and risk management, learn about key financial securities such as equities, fixed income securities and derivatives. Finally, you will master advance programming skills in Python, Matlab and VBA.