Statistics, Economics and Finance
BSc · University College London · 3 years
About this course
Statistics, economics, and finance is a powerful triple combination designed for students who want to develop rigorous quantitative skills alongside deep understanding of economic behaviour and financial markets. Statistics provides the mathematical toolkit for extracting meaning from data and quantifying uncertainty. Economics furnishes the theoretical frameworks for understanding how markets, firms, and governments behave. Finance applies and extends both to the analysis of investments, asset pricing, risk, and the operation of financial systems. Together, these three disciplines produce graduates with an unusually strong and versatile set of analytical capabilities. At University College London, this three-year full-time programme takes you through probability theory, statistical inference, and data modelling alongside core microeconomics, macroeconomics, and econometrics, then exten
Where its graduates go
The 5 largest scored destinations, covering 102% of graduates; the headline also reflects the subject baseline.
- 72 / 100Information Technology Professionals · 20% of graduatescards →
- 60 / 100Business, Research and Administrative Professionals · 25% of graduatescards →
- 55 / 100Administrative occupations · 5% of graduatescards →
- 52 / 100Finance Professionals · 51% of graduatescards →
- 50 / 100Business and Financial Project Management Professionals · 1% of graduatescards →
The tabs above carry the rest: modules and satisfaction (The Course), where you'd live and what it costs (Student Life), the full pay story (Pay & Outcomes), and easier ways into the same subject (Alternatives).