|Study location||United Kingdom, London Campus|
|Type||Master courses, full-time|
|Nominal duration||1 year|
|Tuition fee||To be confirmed|
Undergraduate diploma (or higher)
good first degree (2:1 Honours or equivalent) in Finance, Mathematics, Physics, Engineering or a subject with substantial mathematical content
The entry qualification documents are accepted in the following languages: English.
Often you can get a suitable transcript from your school. If this is not the case, you will need official translations along with verified copies of the original.
IELTS: 6.5 (with a minimum of 5.5 in each component)
At least 2 reference(s) should be provided.
This programme is supported by the University of Liverpool’s prestigious Institute for Financial and Actuarial Mathematics. Therefore, as a student in London you will have access to this vibrant research community whilst studying within minutes of London’s financial centre.
The Financial and Actuarial Mathematics MSc incorporates all mathematical techniques, knowledge and skills required for careers in modern actuary.
This cutting edge MSc programme is oriented towards you if you want to receive a high-profile education in quantitative finance and actuarial science. The MSc will equip you with the mathematical, financial and computational skills needed to quantify and manage risk effectively in today’s finance, investment and insurance industries.
Graduate from this programme and you will be qualified to assess and solve problems in the financial and actuarial industry, to analyse and develop sophisticated mathematical models as well as to implement them in practice.
We are currently NOT ACCEPTING applications from NON-EU countries, except Georgia and Serbia.