Ph.D in Financial Mathematics and Statistics - Course, Fees, Eligibility, Top Colleges, Top Careers

Finance and Accounts
Duration
img3 Years
Level
imgdoctorate
Programme
imgDoctorate
Study Mode
imgFull Time, Online

Course Description

PhD in Financial Mathematics and Statistics is a 3-year Doctoral course which can be pursued on completion of Master’s degree. This doctoral course is a branch of Mathematics that deals with the collection, analysis, interpretation, and presentation of numerical data. This program can be used for the measurement systems’ variability, control processes for abridging data, and for making data-driven choices.

Eligibilty

To be considered eligible to apply to this program, candidates are required to have passed M.Sc. or MA in Mathematics or Statistics with an aggregate of at least 55%

Colleges

Which are the best colleges to attend for Ph.D in Financial Mathematics and Statistics?