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The Bachelor of Science in Financial Mathematics and Statistics is a collaborative program offered by the Mathematics Department and the Statistics and Applied Probability Department, with support from the Economics Department. This program is ideal for students interested in understanding how mathematical principles, probability theory, and statistical methods are crucial for valuing financial instruments and managing risk in markets. Our department provides undergraduate degrees in Statistics and Data Science, Actuarial Science, and Financial Mathematics and Statistics, along with a Statistical Science minor, serving over 1,900 undergraduate students. Additionally, we support more than 100 graduate students across various programs, including combined BS/MS in Actuarial Science, MA in Applied Statistics, and PhD in Statistics and Applied Probability with specializations in Financial Mathematics & Statistics and Quantitative Social Science Methods.