A program that focuses on the application of mathematics and statistics to the finance industry, including the development, critique, and use of various financial models. Includes instruction in probability theory, statistical analysis, numerical methods, computation and simulation methods, stochastic processes, economics, and financial markets and applications.

- Natural Sciences Managers
- Financial Analysts
- Financial Quantitative Analysts
- Risk Management Specialists
- Investment Underwriters
- Fraud Examiners, Investigators and Analysts
- Mathematicians
- Mathematical Science Occupations, All Other
- Economists
- Environmental Economists
- Mathematical Science Teachers, Postsecondary

- Find Institutions Algebra and Number Theory
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- Find Institutions Financial Mathematics
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- Find Institutions Mathematics and Statistics
- Find Institutions Mathematics and Statistics, Other
- Find Institutions Mathematics, General
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- Find Institutions Statistics, General
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- Find Institutions Topology and Foundations

The graphs below represent a comparison of the number of graduates in
*Financial Mathematics*
and the number of graduates in similar majors compared to all other graduates in
the state.