University of Liverpool in London

University of Liverpool in London

Financial and Actuarial Mathematics

The programme incorporates all mathematical techniques, knowledge and skills required for careers in modern actuary. This programme is oriented towards students who want to receive a high-profile education in quantitative finance and actuarial science. The programme aims to equip you with the mathematical, financial and computational skills needed to quantify and manage risk effectively in today's finance, investment and insurance industries. Graduates of this program are 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.

Course modules

Semester 1 modules include: Stochastic modelling in insurance and finance; finance and financial reporting; statistical methods in insurance and finance; mathematical risk theory. Semester 2 modules include: Computational methods in finance; interest rate theory; life contingencies; quantitative risk management. Semester 3: Dissertation.


Qualification Study mode Start month Fee Course duration
MSc Full-time September 2018 £ 11,000 per Whole course (Home/EU) 12 Months
MSc Full-time September 2018 £ 20,650 per Whole course (International) 12 Months

Campus details

Campus name Town Postcode Region Main campus Campus Partner
University of Liverpool in London London EC2A 1AG London

Get in touch

Remember to mention TARGETpostgrad when contacting universities.

Key information

Postgraduate Recruitment
Telephone number: