The major aims at cultivating students with good mathematical, economical and financial basis. The students should master basic theory and method in
Probability and Statistics, Financial Engineering, Actuarial Science, as well as computer application and language skill. It will lay a solid foundation for those students who intend to be senior statistician, financial analyst or actuaries.
Our graduates would be engaged in senior management work such as statistical information management, financial monitoring, quantitative analysis of asset pricing, financial products development, and investment council for government departments, bank, insurance companies, and stock exchange firms. And our graduates also would be engaged in academic research and teaching for institution of higher education.