BS Financial Economics
The BS Financial Economics program blends rigorous quantitative analysis with core economic theory to examine financial markets and economic policy. Students learn to apply mathematical models, econometric methods, and statistical techniques to analyze market trends, investment strategies, and economic data. The curriculum is designed to prepare graduates for analytical roles in finance, banking, and economic research, as well as for advanced studies in economics and finance. Practical projects and internships provide hands-on experience in real-world financial environments.
The BS Financial Economics program blends rigorous quantitative analysis with core economic theory to examine financial markets and economic policy. Students learn to apply mathematical models, econometric methods, and statistical techniques to analyze market trends, investment strategies, and economic data. The curriculum is designed to prepare graduates for analytical roles in finance, banking, and economic research, as well as for advanced studies in economics and finance. Practical projects and internships provide hands-on experience in real-world financial environments.