Specialized courses in financial mathematics include mathematical analysis, advanced algebra, probability theory, multivariate statistical analysis, operational research, real variable function, western economics, monetary banking, financial engineering and financial mathematics.
Analysis of Employment Prospect of Financial Mathematics Major Financial Mathematics is a new interdisciplinary subject, which develops rapidly and is one of the most active frontier disciplines at present. The major of financial mathematics aims to provide professionals with quantitative financial analysis ability for the financial industry. It focuses on the application of mathematics and statistics in the financial system, so it will provide much-needed financial talents for the rapid development of the financial industry in China and even the world. 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. At the same time, there is a lack of high-quality financial mathematicians in the world, so the employment prospects of this major are very promising.