Uppsala University

Master in Financial Mathematics

Uppsala, Sweden

The Master in Financial Mathematics at Uppsala University is a program for international students taught in English.

Introduction

Uppsala University, founded in 1477 and based in the historic city of Uppsala, is Sweden's oldest university and a leading global research institution. With about 50,000 students, including roughly 6,000 international learners, the university offers a broad portfolio of 119 programs across the sciences, humanities, social sciences, and professional fields. Uppsala combines centuries of academic tradition with modern research facilities and a strong commitment to societal impact and sustainability.

The university is known for rigorous research, collaborative projects, and an inspiring campus life set amid cultural and scientific landmarks. Students benefit from extensive academic support, research-led teaching, and numerous student organizations that enrich personal and professional growth. Uppsala's partnerships with industry, public institutions, and international universities create pathways for internships, exchange, and postgraduate research.

International students find Uppsala welcoming, with services for housing, language development, and integration into Swedish academic life. The university's focus on sustainability and community engagement provides opportunities to work on real-world challenges through coursework and extracurricular initiatives. Graduates gain a qualification respected worldwide, practical experience, and access to a vibrant alumni and research network.

About the Program

The Master in Financial Mathematics at Uppsala University is a 2-year degree for students who want to learn about the mathematical aspects of finance. This program is taught in English and helps students develop skills in economics, financial derivatives, and mathematical analysis. A key advantage of this program is its combination of mathematics, finance, and simulations.

The curriculum includes courses like Probability and Martingales, Financial Theory, and Statistical Machine Learning. Students will also learn about financial derivatives and develop skills in performing extensive calculations and computer simulations of financial phenomena. This program provides a good balance between theoretical and practical knowledge.

Graduates of this program can pursue careers as Financial Analysts, Risk Managers, Portfolio Managers, Investment Bankers, or Quantitative Analysts. They can work in the financial sector, banking, or investment firms, and apply their knowledge of mathematical models and financial simulations to make informed decisions.

Similar Programs You Can Apply To

Direct application via Global Admissions is not available for this program. Browse similar partner programs below or visit the university's site to apply directly.

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