The Mathematical Finance major provides the necessary theoretical framework required to price complex financial products such as derivative contracts. Mathematical finance has given tremendous impetus to research in and applications of probability theory and some other mathematics areas.
The skills acquired through this major equip students to continue to postgraduate research in mathematical finance or applied probability. Along with a solid computational foundation which can be obtained through courses available in the Major, these skills form an integral component of the attributes necessary to work as a “quant” in the banking and finance industry; for example, market makers, hedge fund analysts, statistical arbitrageurs and risk analysts in banks, central banks and regulators.
Graduates from ANU have been rated as Australia's most employable graduates and among the most sought after by employers worldwide.
The latest Global Employability University Ranking, published by the Times Higher Education, rated ANU as Australia's top university for getting a job for the fourth year in a row
Applicants must have either completed recognized upper secondary studies to the required standard and recognised by ANU as comparable to Australian Year 12 (ATAR 80) or completed at least one year of tertiary study to the required standard
The Australian National University
Australian Capital Territory,
2601, CANBERRA, Australia
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