Duration
3 Years
Intake
January,May,September
Total Tuition Fees
78460
Faculties
Faculty of Science
Course Overview
This major combines mathematics, statistics, and finance, and aims to analyze and predict financial risks, especially in the fields of insurance and investment. It focuses on the use of mathematical and statistical models to assess future probabilities such as accidents, financial losses, and economic changes. It also helps prepare graduates who are able to make data-driven financial decisions and reduce risk in organizations.
Advanced Mathematics and Statistics Study
Financial Risk Analysis and Management
Applying Probabilistic Prediction Models
Insurance, Finance and Investment Study
Using data to make financial decisions
Assessment of future losses and risks
English Requirements
5 in IELTS
Entry Requirements
1. Passport copy (first page).
2. High school certificate with transcript (translated).
3. Personal photo (white background).
4 . IELTS certificate, if available
Please submit the requirements in pdf format.
Career Opportunities
Actuary
Risk Analyst
Financial Analyst
Insurance Consultant
Investment Analyst
Director of Risk Management
Data Analyst
Financial Advisor
Work in insurance companies, banks, financial institutions, and government agencies

