This course combines a high level of academic rigour with a solid grounding in practical problem-solving skills.
The programme has an emphasis on machine learning, the branch of data science which is reshaping the finance industry. You will learn the statistical techniques and machine learning tools that are used widely in financial risk management and you will also learn how to programme Python and R.
We have an excellent reputation for the quality of our teaching, which includes providing training for the Treasury and the Bank of England.
Financial Data Science with Python;
Mathematics of Financial Derivatives;
Credit Risk Management;
Market Risk Management;