MSc Quantitative Methods for Risk Management

London School of Economics and Political Science

London, London, UK
MSc Quantitative Methods for Risk Management
Duration10 Months
LevelMasters Program
  • The MSc in Risk and Stochastics, conducted by internationally renowned experts, offers in-depth instruction in advanced mathematical risk theory and its ramifications in insurance and finance
  • The course, launched in 2004, builds on the successful BSc in Actuarial Science within the Department of Statistics at the London School of Economics and Political Science
Fees componentsAmount
Tuition & fees3018259 INR
Hostel & Meals557404 INR
Application Fees7606 INR
Total565010 INR

Entry Criteria

Class 12thNo specific cutoff mentioned
Bachelors60.0%
  • Upper second class honors (2:1) degree or equivalent in actuarial science, mathematics, statistics, or mathematical economics/finance. 
ExamsIELTS: 7
With 6.5 in Reading and Listening and 6.0 in Speaking and Writing
PTE: 65
With 58 in Reading and Listening and 51 in Speaking and Writing
Additional info
  • Submit two academic references (from tutors who have taught students at university)
  • Upload a scanned transcript for each qualification. (The transcript or mark sheet must include a list of subjects studied and the grades obtained to date)
  • Upload a statement of academic purpose:
    • The statement should be typed and no longer than two sides of A4 paper
    • There is no fixed word limit, but expected this to be no longer than 1,000 - 1,500 words
  • Upload a CV/resume, including the employment history or other professional experience, including internships
  • ELP should be waived off if the applicants have a degree taught in English
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