Homeβ€ΊUniversity of Bristolβ€ΊBSc Mathematics with Statistics for Finance

BSc Mathematics with Statistics for Finance

University of Bristol
Full-time3 YearsSubject: Mathematical Sciences
Course Score
A /81
Graduate Salary
Β£34,500 (3yr)
Satisfaction
84%
Degree Completion
85%
Professional Jobs
82%
Meaningful Work
70%

About this course

The financial industry runs on mathematics. The pricing of derivatives, the construction of investment portfolios, the modelling of credit risk, and the development of trading strategies all require practitioners who can move fluently between mathematical theory and its application to real-world data. Mathematics with Statistics for Finance at Bristol is designed specifically for students who combine a love of mathematical rigour with an interest in how that rigour is deployed in financial markets and institutions. At Bristol, one of the UK's leading mathematics departments, this three-year programme provides a strong foundation in pure and applied mathematics alongside a substantial grounding in statistical methods and their specific application to finance. You will study probability theory, statistical inference, stochastic processes, and the mathematical models that underpin options pricing, portfolio optimisation, and risk measurement. The programme is explicitly practical in its orientation, focusing on the kinds of mathematical knowledge and applied skill that make graduates stand out to employers in financial services, asset management, and quantitative trading. Bristol's research environment in mathematics and statistics ensures that the curriculum reflects current knowledge in the field. Graduates are sought after by banks, asset management firms, hedge funds, risk management consultancies, insurance companies, and financial technology companies. Roles in quantitative analysis, derivatives pricing, risk modelling, algorithmic trading, and data science within finance are natural destinations. The combination of mathematical depth and financial application also opens routes into actuarial work and financial regulation. Many graduates pursue professional qualifications, including those of the CFA Institute or relevant actuarial bodies, or continue to postgraduate study in financial mathematics, statistics, or quantitative finance.

Syllabus & Modules

Typical curriculum
β–ΆYear 1 Modules
4 items
Principles of Management
Core
View Module Details β†’
Financial Accounting
Core
View Module Details β†’
Microeconomics
Core
View Module Details β†’
Quantitative Methods
Core
View Module Details β†’
β–ΆYear 2 Modules
4 items
β–ΆYear 3 Modules
4 items

Student Satisfaction

National Student Survey - 200 respondents (62% response rate)

87%
Teaching Quality
80%
Assessment & Feedback
77%
Academic Support
83%
Organisation
85%
Learning Resources
69%
Student Voice

Tuition FeesVerified

Published annual tuition cost at University of Bristol.

Β£9,535
Per academic year (UK Home)
πŸ’°

Government Student Loan

Eligible UK students do not pay upfront. Covered by SFE tuition fee loans.

Will I Get In?

120 UCAS Pts
Admissions Probability
Calculate your odds
Predicted Grades

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Entry Qualifications

A-level
75%
Other HE
20%
Baccalaureate
5%
Other
5%

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