Financial Risk Management MSc
...because good science starts by looking at the data.
Are you looking for a career in the risk world of financial services? Want to learn more about financial risk modelling? Consider the new UCL MSc in Financial Risk Management. We have started afresh to create a new programme at one of the world's leading universities close to the twin financial centres of London.
Don't just get an MSc - get an MSc^2….
This new programme aims to create financial risk professionals who are trained simultaneously in:
- Mathematics
- Statistics
- Computation
and draws on the combined resources of the UCL departments of Mathematics, Statistical Science and Computer Science. Risk professionals need:
- Mathematical skills to analyse the modern financial models.
- Statistical skills to properly characterize real-world data.
- Computer Science skills to run and analyse complex computer models.
Key dates for applicants in 2012
- The closing date for applications will be Friday 3 August 2012
- The programme starts on Monday 24 September 2012











