University of Glasgow Campus
Master of Science
On Campus
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University of Glasgow
Glasgow
United Kingdom

Quantitative Finance

About

The Master of Science in Quantitative Finance at the University of Glasgow is a one-year full-time program designed for those looking to combine financial theory with advanced mathematical and statistical techniques. This program prepares students for careers in financial analysis, risk management, and quantitative modeling.

With a focus on financial markets, derivatives, and data analysis, students gain the necessary skills to excel in the rapidly evolving world of finance. The program's strong academic foundation is complemented by practical experience, ensuring graduates are equipped to tackle complex financial challenges.

Key information

Duration
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Tuition fee
$47,423.00/year
Start dates & application deadlines
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More details
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Key Facts

Program Title: Master of Science in Quantitative Finance
Degree Type: Master of Science (MSc)
Duration: 1 Year
Mode of Study: Full-time, On Campus
Application Deadline: 7th July 2026
Location: University of Glasgow, United Kingdom
Field of Study: Finance
Language of Instruction: English

Program Structure

Semester 1 – Foundations in Quantitative Finance

  • Introduction to Financial Markets and Instruments
  • Mathematical Methods for Finance
  • Financial Economics and Risk Management
  • Statistical Analysis and Quantitative Modelling
  • Corporate Finance and Financial Reporting
  • Research Methods in Quantitative Finance

Semester 2 – Advanced Quantitative Finance Practices

  • Advanced Portfolio Management and Asset Pricing
  • Financial Derivatives and Risk Hedging
  • Computational Finance and Algorithmic Trading
  • Fixed Income and Credit Risk Models
  • Quantitative Investment Strategies
  • Elective Modules in Financial Engineering and Risk Management

Career Opportunities

Graduates of the Quantitative Finance program are well-prepared for careers in investment banking, hedge funds, financial consultancy, and quantitative trading. Career opportunities include roles such as Quantitative Analyst, Risk Manager, Financial Engineer, Portfolio Manager, and Data Scientist in Finance. Graduates can work in industries such as banking, insurance, asset management, financial technology (FinTech), and corporate finance, where advanced quantitative skills are required to model financial markets, assess risk, and develop trading strategies.

Why Choose This Program

The Quantitative Finance program at the University of Glasgow offers an advanced education in mathematical finance, financial engineering, and risk management. The program combines theoretical finance with practical quantitative methods, equipping students with the skills to analyze complex financial markets and manage risk. With a strong emphasis on computational techniques, derivatives pricing, and algorithmic trading, graduates are prepared to work in high-level financial roles that require sophisticated quantitative analysis. The university’s strong connections to financial institutions, industry experts, and global finance networks provide students with valuable opportunities for internships, research, and career placement.

Contact Information

For further information, please contact the admissions office at:
Phone: +44 (0)141 330 2000
Email: admissions@glasgow.ac.uk
Address: University of Glasgow, Glasgow G12 8QQ, United Kingdom