Massachusetts Institute of Technology (MIT) Campus
Bachelor of Science
On Campus
Massachusetts Institute of Technology (MIT) Logo
Massachusetts Institute of Technology (MIT)
Cambridge
United States

Finance

About

The Bachelor of Science in Finance at Massachusetts Institute of Technology (MIT) is a four-year, full-time program that provides students with a comprehensive understanding of financial theory, market dynamics, and quantitative analysis. The program is designed for students who aspire to pursue careers in financial services, investment banking, corporate finance, or financial consulting. MIT’s Finance program combines rigorous mathematical and economic principles with real-world applications to ensure that graduates are well-equipped to navigate complex financial systems and drive strategic decisions in the global marketplace.

MIT’s approach emphasizes the integration of financial theory with hands-on learning experiences, including internships, research projects, and collaboration with industry professionals. Students will engage in coursework that covers areas such as corporate finance, financial modeling, investment analysis, and risk management, while also gaining exposure to cutting-edge technologies such as data analytics and machine learning as applied to finance. By the end of the program, students will have a deep understanding of financial markets, asset management, and economic policy, preparing them to take on leadership roles in finance-related fields.

Key information

Duration
-
Tuition fee
$64,310.00/year
Start dates & application deadlines
-
More details
-

Key Facts

  • Program Title: Finance
  • Degree Type: Bachelor of Science
  • Duration: 4 years
  • Mode of Study: Full-time, On Campus
  • Application Deadline: 04 January 2026
  • Location: Massachusetts Institute of Technology (MIT), United States
  • Field of Study: Finance
  • Language of Instruction: English

Program Structure

Year 1 – Foundations in Finance and Economics

  • Introduction to Financial Accounting
  • Principles of Microeconomics and Macroeconomics
  • Introduction to Financial Markets and Institutions
  • Calculus and Statistics for Economics
  • Business and Financial Ethics

Year 2 – Core Finance and Quantitative Methods

  • Corporate Finance and Capital Budgeting
  • Financial Statement Analysis
  • Quantitative Methods for Finance
  • Investment Analysis and Portfolio Management
  • Risk Management and Derivatives

Year 3 – Advanced Finance, Economics, and Financial Modeling

  • Advanced Corporate Finance and Capital Markets
  • Financial Modeling and Forecasting
  • Behavioral Finance and Market Psychology
  • International Finance and Exchange Rate Systems
  • Econometrics and Applied Finance Research

Year 4 – Specialization, Research, and Capstone Project

  • Specialized Electives in Finance (e.g., Private Equity, Hedge Funds)
  • Advanced Risk Management and Financial Engineering
  • Senior Thesis in Finance or Financial Research Project
  • Capstone Investment Analysis Project
  • Financial Innovation and Technology in the Financial Sector

Career Opportunities

Graduates of the Finance Bachelor’s program from MIT are well-prepared to pursue high-level careers in the financial industry. With a strong foundation in both quantitative analysis and financial theory, graduates often take positions as investment bankers, financial analysts, asset managers, risk consultants, and corporate finance professionals. Many MIT finance graduates go on to work at top financial institutions such as Goldman Sachs, J.P. Morgan, BlackRock, and Citigroup. Others may join fintech startups or pursue careers in financial technology, financial consulting, or economic policy advisory. Graduates who seek to advance their careers further may also choose to pursue graduate studies in finance, economics, or business administration.

Why Choose This Program

The Finance Bachelor’s program at MIT stands out for its rigorous academic curriculum, cutting-edge research opportunities, and real-world application. MIT’s unique blend of finance theory and quantitative skills ensures that graduates are equipped to tackle the complexities of global financial markets and institutions. The program’s interdisciplinary approach gives students a solid grounding in economics, mathematics, and data analytics, which are essential tools for modern financial decision-making. MIT’s close ties with the finance industry and its strong alumni network provide students with valuable opportunities for internships and job placements at leading financial firms. Graduates of the program leave with a deep understanding of financial systems, market behavior, and financial technology, making them highly competitive candidates for top positions in the financial world.

Contact Information

For further information, please contact the admissions office at:
Phone: +1 617-253-1000
Email: admissions@mit.edu
Address: University of MIT, 77 Massachusetts Avenue, Cambridge, MA 02139, USA