This major deals with financial risk management through mathematical, statistical, and probabilistic analysis. It prepares professionals to work in insurance, pensions, and investments by evaluating risks and making data-driven financial decisions.
⭐ Advantages of Studying This Major
✅ High-demand and high-paying profession
✅ Combines mathematics, statistics, and real-world finance
✅ Career opportunities in insurance, banks, and risk management
✅ Excellent for analytical and logical thinkers
✅ Recognized globally in financial industries
📚 Core Courses
🔹 Statistics and Probability
🔹 Financial Mathematics
🔹 Risk Modeling and Data Analysis
🔹 Principles of Insurance and Portfolio Management
🔹 Microeconomics and Macroeconomics
🔹 Insurance Law and Financial Regulations
🔹 Computing for Actuarial Applications
🔹 Forecasting and Financial Planning
💼 Career Opportunities
✅ Actuary in insurance companies
✅ Risk assessment manager in financial institutions
✅ Financial and actuarial data analyst
✅ Consultant for pension and health insurance plans
✅ Reinsurance companies and government agencies
✅ Stock exchanges and investment firms
✅ Academic or research roles in finance analytics
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