School of Statistics and Mathematics
Bachelor Programs

Mathematics and Applied Mathematics (Financial Mathematics)

Release Date: 2017-09-22

The program cultivates talents which could meet the national economic construction and social development needs in the field of Mathematics and Applied Mathematics. After accepting 4-year strict training, students could have solid basic mathematical knowledge, will be familiar with financial theory and master the professional knowledge of modern finance, basic statistic theory and the basic principles and methods of economic systematically. Furthermore, graduates will be able to solve the practical problems in finance through a flexible use of the mathematical method and applied mathematics flexibly. This program also aims to prepare students for further academic development.

Core courses include: Mathematical Analysis, Advanced Algebra, Geometry, Real Variable Function Theory, Probability Theory, Mathematical Statistics, Mathematical Modeling, Numerical Calculation, Advanced Programming, Macro and Micro Economics, Finance, Application of Random Processes, etc.

The program emphasizes the basic training of Mathematics, especially the ability to use logical analysis and logical reasoning, training in Mathematical Modeling, as well as computer application ability training. Students will have a solid foundation in the field of finance, and will develop a strong understanding of the potential applications of mathematics in this area. Our goal is to focus on financial mathematics in this program.

Graduates will be competent in Economic Modeling, Statistical Analysis, Forecasting Analysis, Project Development and Management, etc. Graduates will also be in a strong position to pursue a master's degree in Mathematics or related disciplines.