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Programme Introduction

The BSc(QFin) programme equips you with the quant skills that are required in more advanced and sophisticated financial analyses, such as valuation models of structured products, risk management, data analysis, financial engineering, and quantitative trading.

The programme goes beyond merely equipping students with quant skills. More importantly, it stresses on combining these skills with an understanding of the financial markets, the macro environment, and the practical situations where financial managers work. To this end, the curriculum offers a balanced mix of quant and business courses.

Stock market data
What You’ll Study

In the first two years students take basic finance courses such as accounting, corporate finance, macroeconomics, derivatives, and portfolio management. At the same time, they are introduced to a strong foundation in probability, statistics, calculus, linear algebra, and computer programming.

Students will apply the aforementioned quant skills in specialised QFin courses the third and fourth years of study, such as risk management, financial engineering, spreadsheet financial modelling, and mathematical finance. They can also choose from a wide selection of major elective courses such as time series analysis, big data and quant trading.

Zoom in on hands working on computer showing stock market
Experiential Learning

To nurture students’ professional knowledge and market acumen, the programme provides a wide range of value-enhancing activities, such as Round Tables with Practitioners, Alumni Drinks, Executive Mentorship Scheme, Bloomberg workshops, simulation trading workshops, and an international field trip to other international financial centres such as New York, London and Zurich.

Image of eyeglasses, pen, two touchpads and financial documents at workplace with businessmen handshaking on background
Professional Recognition
  1. The BSc(QFin) programme is fully accredited by the Professional Risk Managers International Association (PRMIA). PRMIA offers the Professional Risk Manager (PRM) designation which is regarded as one of the definitive designations in the risk management industry. Graduates from the BSc(QFin) are exempted from the PRM Paper 1.
  2. The BSc(QFin) programme is a designated University Affiliation Programme (UAP) of the Chartered Financial Analysts (CFA) Institute which manages the highly respected CFA designation. As a UAP, the BSc(QFin) programme embeds a significant portion of the CFA Candidate Body of Knowledge into its curriculum, which provides students with a solid grounding in practical, relevant, and up-to-date investment education. A CFA scholarship is available to BSc(QFin) students to take the CFA Level I Examination.
Student presenting in meeting room
Career Prospects

Because of their quant skills, BSc(QFin) graduates have more career choices than regular finance or business graduates. Besides standard roles they could pursue, such as investment bankers, equity researchers, and wealth managers, BSc(QFin) graduates have an edge in jobs that require quantitative and numerical competency, such as quant traders, data analysts, financial engineers, and risk managers.

BSc(QFin) graduates have successfully landed jobs with reputable financial institutions such as Morgan Stanley, UBS, Credit Suisse, Barclays Capital, J P Morgan, BNP Paribas, Deutsche Bank, HSBC, Securities and Futures Commission, and the Hong Kong Monetary Authority.

The degree also opens doors to postgraduate studies in finance and economics.

If you’re considering this programme, please review our programme-specific application standards and deadlines to give yourself the best possible chance of securing a place.  

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For Further Information
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