University of North Carolina at Chapel Hill Campus
Master of Science
On Campus
University of North Carolina at Chapel Hill Logo
University of North Carolina at Chapel Hill
Chapel Hill
United States

Mathematical Finance and International Business Dual Degree

About

The Mathematical Finance and International Business Dual Degree Master of Science program at the University of North Carolina provides students with advanced knowledge in financial mathematics, international business, and quantitative analysis. The curriculum emphasizes mathematical modeling, risk management, and global financial strategy, preparing learners to solve complex financial problems and make data driven decisions in international business contexts. Students develop quantitative analysis, financial modeling, risk assessment and critical thinking skills, equipping them to analyze financial markets and optimize business strategies across global markets.

Throughout the program, learners engage in rigorous coursework, applied projects, and research initiatives that integrate mathematical theory with real world financial and business applications. Faculty mentorship guides students in conducting quantitative research, evaluating investment strategies, and developing solutions for international finance challenges. By combining mathematics, finance, and business strategy, students strengthen analytical competence, problem solving abilities, data interpretation skills and strategic insight, ensuring they are prepared for careers in global finance and international business leadership.

Key information

Duration
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Tuition fee
$20,627.00/year
Start dates & application deadlines
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More details
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Key Facts

  • Program Title: Mathematical Finance and International Business Dual Degree
  • Degree Type: Master of Science
  • Duration: 3 years
  • Mode of Study: Full-time, On Campus
  • Application Deadline: 01 August 2026
  • Location: University of North Carolina at Chapel Hill, United States
  • Field of Study: Financial Mathematics
  • Language of Instruction: English

Program Structure

Year 1 Foundations in Mathematical Finance and International Business

• Linear Algebra and Matrix Theory
• Advanced Calculus and Real Analysis
• Principles of International Business
• Mathematical Modeling Techniques

Year 2 Advanced Finance and Business Analysis

• Computational Methods and Programming for Mathematics
• Financial Markets and Risk Management
• International Business Strategy
• Elective Modules in Finance and Economics

Year 3 Integration and Applied Research

• Quantitative Finance and Derivatives
• Global Financial Management
• Capstone Project in Mathematical Finance and International Business
• Professional Development and Portfolio

Career Opportunities

Graduates of this program are prepared for high level roles that require expertise in quantitative finance, financial analysis, and international business strategy. Many pursue careers in investment banking, financial consulting, risk management, and global business strategy, applying analytical and quantitative skills to optimize financial decisions. Others work in multinational corporations, financial institutions, or government agencies, analyzing markets, designing financial models, and guiding strategic international initiatives. The programs emphasis on applied finance, quantitative methods, and international business equips graduates to tackle complex financial challenges and succeed in global professional environments.

Why Choose This Program

This program is ideal for students who want to combine advanced mathematical knowledge with international business and applied financial expertise. Its curriculum emphasizes quantitative modeling, risk assessment, and strategic decision making, providing learners with the tools to evaluate financial systems and implement effective global business solutions. Faculty mentorship supports students in developing analytical reasoning, mathematical modeling proficiency, research capabilities, and strategic problem solving. Through applied projects, research initiatives, and capstone experiences, learners strengthen quantitative finance expertise, financial analysis skills, international business competencies and applied problem solving abilities, preparing them for impactful careers in finance, investment, and global business management. The program equips graduates with the knowledge and skills to influence financial decision making and drive innovation in international business environments.

Contact Information

Phone: +1 (919) 966-3621
Email: unchelp@admissions.unc.edu
Address: Jackson Hall, 174 Country Club Road, Chapel Hill, NC 27514, USA