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What does financial mathematics study?
Financial mathematics mainly studies mathematical analysis, advanced algebra, college physics, ordinary differential equations, complex variable functions, numerical analysis, mathematical modeling, real variable functions, financial English, financial mathematics, modern algebra, operational research and so on. Master the basic theories and methods of applied mathematics and finance systematically, and form a solid basic knowledge of mathematics and a rigorous mathematical thinking mode.

Employment prospect of financial mathematics major Financial mathematics is a frontier subject that has developed rapidly on the basis of two Wall Street revolutions. It is also one of the most active frontier disciplines at present, developing rapidly. Its core content is to study the optimal selection theory of portfolio and the asset pricing theory under uncertain random environment. This emerging discipline is also closely related to China's financial reform and development, and its development prospect in China is limitless. There is a shortage of high-quality financial mathematicians in the world, so the employment prospects of this major are very promising.

After graduation, students majoring in financial mathematics can work in investment banks or companies engaged in commodity trade or international trade (energy companies, airlines, large steel companies, mining companies and international companies) to deal with commodity price risks and foreign exchange risks. Data analyst, management trainee, data analysis manager, financial engineer, trader, software engineer, analyst, data analyst, actuary, product manager, futures trader, software testing engineer, etc.