Course Overview
Course Overview This program, a unique collaboration between Exeter's Mathematics department and its triple-accredited Business School, equips students with a powerful combination of advanced mathematical skills and core financial theory. It is designed to prepare graduates for high-level careers in finance by mastering complex techniques in derivatives pricing, risk management, and portfolio analysis. The course also offers the invaluable opportunity to apply this learning through a professional placement year with leading industry partners. Key Program Highlights A unique interdisciplinary partnership between a world-class Mathematics department and a triple-accredited Business School Master advanced quantitative finance techniques, including derivatives pricing and risk management Gain a solid theoretical and practical understanding of financial markets and corporate accounting Option to extend your studies with a professional 'Year in Industry' at top firms like Lloyds Banking Group, PwC, and the Met Office Develop a highly sought-after skill set for a successful career in quantitative finance, investment, and banking
Available Intakes
September 2026
CampusStreatham Campus
CityExeter
ModeFullTime
Duration48 Months
FeeGBP 27,000