Mathematics with Finance with a Year Abroad
BSc · The University of Liverpool · 4 years
About this course
Mathematics with finance combines the analytical depth of a mathematics degree with a substantive grounding in financial theory and practice, reflecting the central role that mathematical and quantitative methods play in modern financial markets, risk management, and economic analysis. The pairing is a natural one: finance has always required rigorous quantitative thinking, and the most demanding areas of financial practice, from derivatives pricing to portfolio optimisation, are genuinely mathematical in character. At the University of Liverpool this four-year full-time programme includes a year abroad as an integral part of the degree. You will develop strong foundations in pure and applied mathematics, including calculus, linear algebra, probability, statistics, and mathematical methods, alongside a finance strand covering financial markets, corporate finance, investment theory, and
Where its graduates go
The 5 largest scored destinations, covering 84% of graduates; the headline also reflects the subject baseline.
- 72 / 100Information Technology Professionals · 15% of graduatescards →
- 60 / 100Business, Research and Administrative Professionals · 5% of graduatescards →
- 55 / 100Administrative occupations · 15% of graduatescards →
- 52 / 100Finance Professionals · 17% of graduatescards →
- 48 / 100Business and public service associate professionals · 32% of graduatescards →
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