• Our unique BSc Financial Mathematics course is approximately one-third core statistics, one-third mathematics, and one-third economics and finance.
  • Students will study topics such as analysis of shares, equities, cash flows and interest rates, and the principles of microeconomics and macroeconomics while gaining a strong foundation across the fundamentals of mathematics.
  • In their third year, students will be able to choose from a broad range of optional modules in topics such as derivatives markets, game theory, and Bayesian statistics.
  • Since our world-leading research directly informs our teaching, students will also learn from academics who are leading their way in their fields.