Financial Mathematics and Statistics - BS
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Learning Outcomes
Program Type
Program Description
The Financial Mathematics and Statistics B.S. is a joint major between the Department of Mathematics and the Department of Statistics and Applied Probability, in cooperation with the Department of Economics. This degree is a good fit for you if you would like to learn how mathematics, probability, and statistics play a key role in pricing and hedging securities in the financial markets.
Featured Courses
Graduate and Professional Pathways
Insurance (actuary)
Financial advising
Probability & Statistics
Business
Top Employers
Mercer
Willis Towers Watson
Brighthouse Financial
Program Highlights
Because Financial Mathematics is a joint major between the Mathematics and Statistics and Applies Probability, students have access to resources provided to majors in both departments
Related Disciplines
Business
Economics
Finance
Social Sciences
Associated Interests
Financial data science
Fintech
Financial engineering
Computational finance
Decentralized finance