SCQF Level 7 Courses (Typically taught in Year 1)
Semester 1
Semester 2
SCQF Level 8 Courses (Typically taught in Year 2)
Semester 1
- F78AA Actuarial and Financial Mathematics A
- F78AP Algorithmic Scientific Programming
- F78PA Probability and Statistics A
- F78QT Quantitative Methods 1
Semester 2
- F78AB Actuarial and Financial Mathematics B
- F78PB Probability and Statistics B
- F78SC Statistics for Science
SCQF Level 9 Courses (Typically taught in Year 3 – some in Year 4)
Semester 1
- F79MA Statistical Models A (Project Course)
- F79PA Portfolio Theory & Asset Models
- F79PS Statistics for Social Science
- F79SP Stochastic Processes
Semester 2
- F79BI Bayesian Inference & Computational Methods
- F79DF Derivative Markets and Discrete-time Finance
- F79MB Statistical Models B (Project Course)
- F79SU Survival Models
SCQF Level 10 Courses (Typically taught in Year 4 – some in Year 3)
Semester 1
Semester 2
- F70DP Advanced Derivative Pricing
- F70LB Life Insurance Mathematics B
- F70LP Life Office Practice
- F70RT Risk Theory
- F70TS Time Series
- F71AP/F70DP Advanced Derivative Pricing
- F71OM Optimization Methods in Finance
SCQF Level 11 Courses (Typically taught in MSc – some in Year 4)
Semester 1
- F71AB Financial Mathematics
- F71AF Life Insurance Mathematics 1
- F71CA Actuarial Risk Management 1
- F71DM Derivatives Markets
- F71DT Discrete-Time Finance
- F71DV Derivatives Markets and Pricing
- F71LA Life Insurance 1
- F71MA Statistical Models
- F71PC Pensions A
- F71PM Probabilistic Methods
- F71QR Quantitative Risk Analysis
- F71RA Machine Learning for Risk and Insurance 1
- F71SM Statistical Methods
- F71ST Statistical Inference
- F71SZ Stochastic Modelling
Semester 2
- F71AE Survival Models
- F71AG Risk Theory
- F71AH Financial Economics 1
- F71AJ Financial Economics II
- F71AP Advanced Derivative Pricing
- F71AP/F70DP Advanced Derivative Pricing
- F71AR Applied Risk Management
- F71BF Life Insurance Mathematics 2
- F71BI Bayesian Inference and Computational Methods
- F71CB Actuarial Risk Management 2
- F71CM Credit Risk Modelling
- F71DA Data Analytics and Time Series Analysis
- F71DP Derivative Pricing and Financial Modelling
- F71LB Life Insurance 2
- F71NP Numerical Probability and Monte Carlo
- F71OM Optimization Methods in Finance
- F71PD Pensions B
- F71PT Portfolio Theory
- F71RB Machine Learning for Risk and Insurance 2
- F71SP Stochastic Networks
- F71TS Time Series Analysis
- F71TT Risk Management: Techniques and Tools