Stochastic, Financial & Actuarial Mathematics
We provide training and research in interdisciplinary fields, from Stochastic processes and Probability theory to Financial and Actuarial mathematics, partnering with world-leading academics and industrial partners.
Our research expertise includes Machine learning in finance, modelling of extreme events, financial inclusion, and other subareas.
The Stochastic, Financial & Actuarial Mathematics section consists of two research groups: Stochastics and Probability Theory; and the Institute for Financial and Actuarial Maths.
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Stochastics engage in research and education in probability theory, stochastic processes and statistics.
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Established in 2011, the Institute of Financial and Actuarial Mathematics provides research and training in actuarial and financial maths, partnering with world leading academics, industrial partners and organisations.