Entry Requirements : High marks on a postgraduate degree in finance or a related field comparable to the School’s MSc Finance and Econometrics in terms of content and quality. In particular, they should have a thorough knowledge of financial economics and econometrics at the MSc level. A good knowledge of topics in mathematics and statistical theory relevant to finance (including univariate and multivariate calculus, constrained optimization, linear algebra, and probability theory) is also essential.