Master of Financial Mathematics
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About the Master of Financial Mathematics
Years of study
Annual tuition fees
Who is an MA in Financial Mathematics?
A student of Financial Mathematics studies financial engineering, as well as quantitative finance; this study is a branch of applied mathematics dealing with financial calculations. MA graduates study market price determination and also calculate financial risk evaluations; this study requires mathematical skill and market knowledge.
What are the main duties of an MA in Financial Mathematics?
Master of Financial Mathematics or quantitative finance master work in two disciplines: defining the current market value of a security, or exploring the future value of it, analyzing, market prices probability, based on statistics.
Where can MA in Financial Mathematics find a career?
Master of Financial Mathematics works as 1. A risk manager – advises on businesses risks to aid their profits. 2. Financial engineer – evaluates companies’ products to advice decisions. 3. Derivatives trader – buys and sells financial products like swaps. 4. Asset manager – deals with currently available assets. 5. Fund manager – manages funds for various financial institutions, like banks insurance companies. 6. Consultant –offers financial decisions.
Why obtain a master's degree in Financial Mathematics?
Free-Apply.com specialists recommend obtaining MA of Financial Mathematics as is an ambitious work which occupies a prestigious position in various financial sectors; this discipline provides a good salary.
Master of Financial Mathematics – Where to study?
The most popular countries.
|United States||414||~ $16,332||Search|
|United Kingdom||61||~ $8,607||Search|
|South Korea||28||~ $3,371||Search|
100% discount for the 1st year
Apply now and get a 100% tuition fee discount for the first year of studies