Financial Mathematics with a Professional Placement Year
BSc · Cardiff University · 4 years
About this course
Financial mathematics is the application of advanced mathematical and statistical methods to the analysis of financial markets, instruments, and risk. It is a discipline that underpins the pricing of derivatives, the management of investment portfolios, the quantification of financial risk, and the development of the algorithmic systems that drive modern trading and financial services. The work requires proficiency in probability theory, stochastic processes, partial differential equations, numerical methods, and statistics, as well as an understanding of the financial instruments and institutions to which these tools are applied. At Cardiff University, this four-year programme includes a professional placement year, which is incorporated into the degree structure to give you extended experience in a financial, insurance, actuarial, or related professional environment. The placement yea
Where its graduates go
The 5 largest scored destinations, covering 70% of graduates; the headline also reflects the subject baseline.
- 72 / 100Information Technology Professionals · 15% of graduatescards →
- 60 / 100Business, Research and Administrative Professionals · 10% of graduatescards →
- 55 / 100Administrative occupations · 10% of graduatescards →
- 52 / 100Finance Professionals · 20% of graduatescards →
- 48 / 100Business and public service associate professionals · 15% of graduatescards →
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