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Mathematics & StatisticsDescription of the Programme
The Bachelor of Science in Mathematics and Finance provides graduates with a solid foundation in both mathematics and finance. This challenging programme is designed to be research-oriented providing invaluable theoretical background in finance alongside mathematical skills. This unique combination of skills makes graduates very attractive to a wide range of employers. You will gain a thorough grounding in both mathematics and finance covering topics like corporate finance, portfolio management, risk management, derivatives pricing, probability & statistics, micro and macroeconomics as well as application of mathematical techniques. You will also be able to apply mathematical and statistical techniques to analyze financial products and manage financial risks. You will develop expert abilities in mathematics and discover how these can be applied to financial situations. This will improve your capacity to make successful financial decisions.
Minimum Entry Requirements
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