Embark on the BSc Mathematics with Statistics for Finance at the University of Bristol, a programme designed for ambitious students eager to bridge the gap between rigorous mathematical principles and the dynamic world of financial markets. This undergraduate degree equips you with the essential quantitative and statistical skills demanded by the modern finance industry, preparing you to tackle complex challenges in areas such as financial risk management and time series analysis. You will explore the intersection of pure mathematics and applied statistics, developing a robust analytical toolkit for a successful career.
This full-time, on-campus degree is studied over three years, immersing you in a curriculum that balances foundational mathematical concepts with specialised financial applications. You will engage with units covering probability, statistics, mathematical programming, and financial mathematics, culminating in a significant project in your final year. Through this practical application of your learning, you will develop the problem-solving abilities and quantitative expertise necessary to excel in roles within investment banking, financial analysis, and quantitative research, graduating ready to make a tangible impact.