Financial math & economics
The Department of Mathematics and Statistics and our department offer a joint program that will lead to a BSc Major in Financial Mathematics and Economics. This program provides students with a strong foundation in the mathematical, quantitative and analytic skills that underly advanced financial analysis.
Students completing the program will have excellent preparation for careers and graduate studies in modern financial analysis, risk management and actuarial science. Students are required to take a selected combination of courses from the Department of Mathematics and Statistics and our department.