Course Content
YEAR 1
Probability and Statistics A
Probability and Statistics B
Linear Algebra
Actuarial and Financial Mathematics A
Actuarial and Financial Mathematics B
Multivariable Calculus and Real Analysis A
Multivariable Calculus and Real Analysis B
YEAR 2
Life Insurance Mathematics A
Life Insurance Mathematics B
Stochastic Processes
Survival Models
Derivative Markets and Discrete-time Finance
Statistical Models A
Statistical Models B
Portfolio Theory & Asset Models
YEAR 3
Students can choose from a range of options such as Time Series Analysis, Risk Theory, Financial Risk Management, Continuous-Time Finance, Bayesian Inference & Computational Methods and Optimisation.