Mathematics with Statistics for Finance
BSc · Imperial College of Science, Technology and Medicine · 3 years
About this course
Mathematics with Statistics for Finance brings together two disciplines that have become indispensable to modern financial markets and institutions. Pure and applied mathematics provide the rigorous analytical foundations on which quantitative finance is built, while statistics provides the tools for modelling uncertainty, analysing data, and testing hypotheses about how markets behave. In an era when trading, risk management, pricing, and regulation all depend on sophisticated mathematical and statistical reasoning, graduates who can work fluently in both areas are exceptionally well placed. At Imperial College London, this three-year, full-time degree is taught to the standards of rigour and depth that Imperial is known for. You will engage with concepts that develop directly from A-level mathematics while also encountering new ways of thinking that are distinctive to university-level
Where its graduates go
The 5 largest scored destinations, covering 90% of graduates; the headline also reflects the subject baseline.
- 72 / 100Information Technology Professionals · 30% of graduatescards →
- 60 / 100Business, Research and Administrative Professionals · 35% of graduatescards →
- 52 / 100Finance Professionals · 15% of graduatescards →
- 48 / 100Business and public service associate professionals · 10% of graduatescards →
- 40 / 100Science, engineering and technology associate professionals · 0% of graduatescards →
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