Laurier’s Financial Mathematics program is structured to teach you mathematics and its financial applications at the same time. Our core courses cover many topics that are fundamental to financial mathematics, including calculus, real analysis, linear algebra and geometry, differential equations, numerical analysis, optimization, probability theory and statistics, stochastic processes, and stochastic calculus. You will obtain extensive experience solving real-world problems in financial mathematics and risk management in our math labs, where you will use appropriate mathematical and statistical software.
Number | Duration |
---|---|
4 | year |
Employers looking for people with the skills and the knowledge to analyze problems and develop new products highly value graduates with a Financial Mathematics degree. Our graduates find employment opportunities in: Major banks and investment firms Insurance companies Software design and utility industries Universities and research institutes Government agencies and ministries