The BS in Mathematical Finance at Hofstra University equips you with a robust foundation in mathematics, finance, and economics, preparing you for dynamic careers in the financial sector. This undergraduate degree is ideal if you possess strong analytical abilities and a keen interest in applying mathematical principles to financial markets, derivatives, and investment strategies. You will delve into core concepts such as financial modeling, stochastic processes, and econometrics, gaining the quantitative expertise demanded by today's complex financial landscape.
This rigorous Bachelor of Science program is studied full-time on campus over four years, requiring 124 semester hours. Your learning journey will involve comprehensive coursework in calculus, probability, statistics, computer science, and accounting, alongside specialised finance subjects like options and futures, and corporate finance. You will develop practical skills through financial modeling and potentially an internship in finance, graduating with the analytical acumen and technical proficiency to pursue roles in investment banking, financial analysis, or quantitative research.