Bachelor of Arts in Economics and Mathematics

Study mode:On campus Study type:Full-time Languages: English
 
8 place StudyQA ranking:8275 Duration:2 years

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The Bachelor of Arts in Economics and Mathematics at Yale University offers an interdisciplinary curriculum designed to develop students' analytical, quantitative, and theoretical skills necessary to understand complex economic phenomena. This program combines rigorous coursework in economics with advanced mathematical training, providing students with a strong foundation in both fields and preparing them for diverse careers in academia, industry, finance, public policy, and research. The curriculum emphasizes critical thinking, problem-solving, and quantitative analysis, enabling students to model economic systems, analyze data, and formulate well-grounded conclusions. Students have the flexibility to explore various areas within economics, such as microeconomics, macroeconomics, econometrics, and behavioral economics, alongside mathematical disciplines including calculus, linear algebra, and statistical methods. The program encourages independent research, offering opportunities to work closely with faculty members on ongoing projects and original investigations. Additionally, students can participate in internships, seminars, and collaborative learning communities to enhance their practical skills and professional networks. Graduates of the program will possess a comprehensive understanding of economic theories and mathematical techniques, alongside strong communication skills necessary to articulate complex ideas effectively. This rigorous and versatile degree prepares students for graduate studies in economics, mathematics, or related fields, as well as for careers in consulting, banking, government agencies, and international organizations. The Yale experience emphasizes a commitment to academic excellence, innovative research, and ethical engagement, fostering graduates who are not only skilled analysts but also responsible citizens equipped to address societal challenges through quantitative insights and economic reasoning.

The Yale University Finance Program offers a rigorous and comprehensive curriculum designed to provide students with a deep understanding of financial theory and its practical applications. The program emphasizes quantitative methods, analytical skills, and an understanding of financial markets, institutions, and instruments. Students will explore core areas such as corporate finance, investment analysis, financial modeling, and risk management, equipping them with the tools necessary to excel in the dynamic world of finance. Through a combination of lectures, case studies, and experiential learning opportunities, participants will develop critical thinking and decision-making skills essential for roles in banking, asset management, consulting, and financial advisory services. The program also offers specialized courses in behavioral finance, financial regulation, and emerging trends such as fintech and sustainable investing, to ensure that graduates are prepared for the evolving landscape of the financial industry. Alongside coursework, students have access to Yale’s extensive resources, including renowned faculty members who are active researchers and industry experts, as well as ties to the financial sector through internships, guest lectures, and networking events. The program culminates in a capstone project that challenges students to apply their knowledge to real-world financial problems, fostering practical skills and innovative thinking. Additionally, students benefit from Yale’s strong emphasis on ethics and governance, ensuring they approach financial decision-making with integrity and social responsibility. Whether seeking to advance in investment banking, asset management, corporate finance, or policy-making, participants will graduate with a solid foundation in finance principles, advanced analytical skills, and a global perspective that prepares them for successful careers in the financial sector. The Yale Finance Program is committed to developing high-caliber professionals who can lead, innovate, and shape the future of finance.

The Yale University Finance program offers a comprehensive curriculum designed to equip students with a deep understanding of financial theories, quantitative methods, and practical applications in the field of finance. The program emphasizes rigorous analytical skills, critical thinking, and ethical considerations necessary for leadership roles in finance, banking, investment management, and related sectors. Core courses include Financial Theory, Corporate Finance, Investments, and Financial Markets, providing students with a solid foundation in the principles that govern financial decision-making processes. In addition to mandatory classes, students are encouraged to pursue electives such as Financial Econometrics, International Finance, Behavioral Finance, and Financial Regulation to tailor their education to specific interests and career goals. The program also promotes experiential learning through case studies, simulations, and internships, which facilitate real-world understanding and practical skills development. Students are expected to engage in independent research projects or a thesis, allowing them to explore specialized topics like asset pricing, risk management, or financial modeling at an advanced level. Complementary courses in economics, statistics, and mathematics support the analytical rigor of the curriculum. The faculty comprises leading scholars and industry experts who bring cutting-edge research and extensive practical experience into the classroom. Additionally, Yale offers various seminars, workshops, and networking events that foster professional development and industry connections. Admission requirements typically include strong academic records, standardized test scores, recommendation letters, and a statement of purpose highlighting career aspirations. The program aims to prepare graduates for successful careers in finance by fostering a blend of theoretical knowledge, quantitative skills, and ethical responsibility, ensuring they are well-equipped for leadership in a dynamic global financial environment.

Program Name: Bachelor of Science in Finance
University: Yale University

Financing studies at Yale University, particularly within the field of Finance, offer a comprehensive academic and practical experience supported by a variety of funding options. Undergraduate students enrolled in the Bachelor of Science in Finance can access institutional financial aid programs designed to assist with tuition, living expenses, and academic resources. Yale's financial aid policy emphasizes meeting 100% of demonstrated financial need without requiring loans, primarily through grants and scholarships, which do not need to be repaid. The university encourages applicants from all socioeconomic backgrounds to apply for financial assistance, ensuring that financial circumstances do not hinder access to education.

In addition to need-based aid, students may explore external scholarships, fellowships, and sponsorship opportunities relevant to finance studies. The university also offers work-study programs that enable students to gain practical experience while earning money to support their education. Yale’s endowment funds support numerous fellowships and research grants for students engaged in financial research or internships at financial institutions. Students pursuing finance degrees are often encouraged to participate in internships, co-op programs, and industry partnerships that provide real-world financial experiences and potential funding support.

Yale provides students with guidance and resources to navigate the complexities of applying for financial aid, including dedicated offices for financial services and advising. The university’s commitment to affordability ensures that financial considerations are manageable for students, making advanced studies in finance accessible and sustainable. While exact figures for tuition, scholarships, and funding amounts vary yearly, Yale’s comprehensive support system aims to minimize financial barriers, fostering an environment where students can focus on their academic and professional development in the field of finance. Overall, funding for Yale finance students combines institutional support, external funding opportunities, and practical work experience to create a robust financial foundation for successful careers in finance.

The Yale University Finance program offers students a comprehensive education in financial theory, quantitative methods, and practical applications essential for careers in finance, investment banking, asset management, and related fields. The program emphasizes rigorous analytical and problem-solving skills, equipping students with a deep understanding of financial markets, corporate finance, investment analysis, and financial modeling. Through a combination of coursework, research opportunities, and internships, students gain real-world experience and develop the ability to analyze complex financial data and make informed decisions. The faculty comprises leading experts in finance, economics, and related disciplines, ensuring that students have access to cutting-edge knowledge and research. The program often includes specialized courses covering topics such as derivatives, risk management, financial econometrics, and behavioral finance, providing a broad and in-depth learning experience. Students are encouraged to participate in finance-related extracurricular activities, including student investment funds, seminars, and networking events, which foster professional development and industry connections. Yale’s strong alumni network offers valuable resources for mentorship and career placement. The program prepares students for graduate studies or immediate entry into the finance industry, highlighting the intersection between academic theory and practical application. While specific details about program duration, admission requirements, and curriculum specifics can vary, Yale’s approach consistently underscores academic excellence, research innovation, and professional readiness in the field of finance.

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