At Wuhan University, the Financial Engineering subject (offered as part of undergraduate and MBA/finance programs within the Economics and Management School) focuses on the theory, tools, and applications of modern financial innovation and risk management. Financial Engineering is an interdisciplinary field that combines financial theory with quantitative methods to analyze, price, and manage complex financial products. At Wuhan University, the course typically covers derivative instruments such as forwards, futures, options, and swaps; explains their market mechanisms and pricing principles (e.g., no-arbitrage and risk-neutral valuation); and introduces how these tools are used in risk management and financial strategy design. Students learn both the foundational concepts and practical techniques for evaluating and structuring financial products, as well as applying them to real-world financial decisions and managing financial risk. The curriculum is designed to strengthen analytical skills and prepare graduates for careers in investment banks, risk management, asset management, and other roles that require quantitative finance expertise. The program also reflects Wuhan University’s emphasis on combining academic rigor with practical applications in the rapidly evolving global financial industry.
NOTE: The university may have additional program-specific eligibility requirements. It is recommended to verify these on the official university website.
Extra Notes
As the online application system will close in January End, please be sure to complete the application process by closing time.
We cannot accept any application after the deadline with any reason