The module is taught exclusively by leading industry experts. This module will give students a unique opportunity to appreciate the latest developments and issues faced by leading practitioners in the areas of quantitative finance and risk management. The contents of the lectures are detailed and rigorous; some lectures may require hands on laboratory sessions.
On completion students will have a rounded knowledge and appreciation of the current issues facing the finance industry. Students that perform well in this module may have the opportunity to continue the work as a dissertation with an industry component.
On completion students will have a rounded knowledge and appreciation of the current issues facing the finance industry. Students that perform well in this module may have the opportunity to continue the work as a dissertation with an industry component.
- Module Supervisor: Panagiotis Kanellopoulos
- Module Supervisor: Neil Kellard
Category: Banking