Master's Degree in Mathematics for Finance
The master's degree in Mathematics for Financial Instruments arose in response to the growing demand from the financial sector for persons with a solid grounding in mathematics.
This programme is open to graduates in Mathematics, Physics, Business Studies, Economics, Statistics, or related subject areas, and its objective is to train up quantitative analysts in the field of finance, with a deep, critical understanding of the models and methods used in the sector.
The Master of Mathematics for the Financial Instruments was born in 1998 from the relationship between the Department of Mathematics of the UAB, the Centre for Mathematical Research (CRM) of the Institute of Catalan Studies and various financial companies, among which the Barcelona Stock Exchange is important.
More information on the Master's degree in Mathematics for Finance (in Catalan)
Coordinator: Sílvia Cuadrado (Silvia.Cuadrado@uab.cat)