Course summary
BSc Economics and Finance combines the broad sweep and critical thinking of economics with a focus on markets and investing from finance, providing comprehensive training in the core theoretical models and empirical techniques of both disciplines and preparing you for a wide range of careers. As a BSc Economics and Finance student, you will explore a wide array of topics at the intersection between the complex worlds of economics and finance. You will develop the analytical skills and intellectual toolbox to help answer questions such as: How do financial markets work? What is the link between interest rates and exchange rates? What are the main causes of economic recessions and financial crises? Why Lancaster? Throughout this course, you will thoroughly explore the core concepts, practices, and techniques of modern economics and their applications to financial systems, institutions, and organisations. You will also learn about advanced financial techniques such as portfolio management and asset pricing. You will gain analytical, quantitative, computing, and other transferable skills, preparing you for a variety of exciting careers in the private and public sectors. You will develop your ability to critically analyse economic environments and their impact on financial markets. At the start of the course, you will learn about the fundamentals of economics and the foundations of finance theory and methodology. The first-year modules will introduce you to both fields' core concepts and key principles and are designed to give you solid foundations for the remainder of your degree. In your second year, you will explore microeconomic and macroeconomic analysis more deeply and learn about econometrics, financial accounting, and asset pricing, among other subjects. In year three, you will enhance your knowledge, develop your skills further and tailor your studies to your career aspirations by focusing on areas that interest you the most. Amongst other specialisations, you can choose from topics such as:
- Monetary macroeconomics
- Game theory and strategic behaviour
- Portfolio management
How to apply
This course is not open to application until the 13th May 2025.
This is the deadline for applications to be completed and sent for this course. If the university or college still has places available you can apply after this date, but your application is not guaranteed to be considered.
Application codes
- Course code:
- NL31
- Institution code:
- L14
- Campus name:
- Main Site
- Campus code:
- -
Points of entry
The following entry points are available for this course:
- Year 1
Entry requirements
Qualification requirements
UCAS Tariff - Not accepted
A level - AAB
Pearson BTEC Level 3 National Extended Diploma (first teaching from September 2016)
Access to HE Diploma
International Baccalaureate Diploma Programme - 35 points
GCSE requirements: English Language grade C or 4
Fees and funding
Tuition fees
No fee information has been provided for this course
Tuition fee status depends on a number of criteria and varies according to where in the UK you will study. For further guidance on the criteria for home or overseas tuition fees, please refer to the UKCISA website .
Additional fee information
Provider information
Lancaster University
Bailrigg
Lancaster
LA1 4YW