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The Mathematics with Statistics for Finance program at the University of Bristol is a three-year Bachelor of Science (BSc) that combines advanced mathematics with statistical techniques tailored to the financial sector. The program covers key topics such as financial mathematics, risk management, econometrics, and data analysis, providing students with the quantitative skills needed to analyze financial markets and make informed decisions in finance.
Students will gain practical experience using statistical software and financial modeling tools to analyze market trends, assess investment risks, and develop predictive models. The University of Bristol offers a comprehensive curriculum with opportunities for internships and industry collaborations. Graduates will be well-prepared for careers in banking, investment analysis, risk management, and financial consulting, where they can apply their statistical and mathematical expertise to solve real-world financial problems.
Program Title: Bachelor of Science in Mathematics with Statistics for Finance
Degree Type: Bachelor of Science (BSc)
Field of Study: Mathematics
Duration: 3 Years
Mode of Study: Full-time, On Campus
Start Date: 14 January 2026
Location: University of Bristol, United Kingdom
Language of Instruction: English
Year 1 – Foundations of Mathematics and Statistics
Year 2 – Core Mathematics and Financial Statistics
Year 3 – Advanced Topics in Mathematics and Finance
Graduates of the Mathematics with Statistics for Finance program are well-prepared for careers in quantitative finance, financial modeling, risk management, and investment analysis. Career opportunities include roles such as quantitative analyst (quant), financial risk manager, data scientist in finance, investment analyst, and financial modeler. Graduates can work in banks, hedge funds, investment firms, insurance companies, consulting firms, and financial technology companies. The program also provides a strong foundation for those wishing to pursue postgraduate studies in mathematics, finance, or financial engineering.
The Mathematics with Statistics for Finance program provides a rigorous foundation in both mathematics and statistical techniques applied specifically to the finance industry. The University of Bristol’s focus on real-world financial applications, quantitative analysis, and advanced statistical methods ensures that students gain the expertise needed to navigate the complex world of financial markets and risk management. The program’s emphasis on financial modeling, derivative pricing, and portfolio management prepares graduates to contribute to financial decision-making, quantitative research, and algorithmic trading. Graduates are equipped to take on leading roles in finance, investment analysis, and risk management.
For further information, please contact the admissions office at:
Phone: +44 (0)117 928 9000
Email: admissions@bristol.ac.uk
Address: University of Bristol, Senate House, Tyndall Avenue, Bristol BS8 1TH, United Kingdom