FINANCIAL RISK MANAGEMENT MSc
学术要求:
2.1 Honours egree or non-UK equivalent in economics, finance, engineering, physics, or another highly mathematical iscipline.
雅思要求:
6.5 with 2 sub-tests at 6.5 an 2 sub-tests at 6.0.
课程设置:
Core courses
DISSERTATION GCEFS
FINANCIAL MARKETS, SECURITIES AND DERIVATIVES
HEDGE FUND RISK MANAGEMENT
MATHEMATICAL FINANCE
MODELLING AND FORECASTING FINANCIAL TIME SERIES
Optional courses
APPLIED COMPUTATIONAL FINANCE
BASIC ECONOMETRICS
BEHAVIORAL ECONOMICS:THEORY AND APPLICATIONS
CORPORATE FINANCE AND INVESTMENT
FINANCIAL SERVICES
PORTFOLIO ANALYSIS AND INVESTMENT
就业方向:
作为一名毕业生,你将有资格在风险管理、资产管理公司、对冲基金、财富管理银行和中央银行工作。毕业生已经在摩根士丹利(Morgan Stanley)、汇丰(HSBC)、毕马威(KPMG)和苏格兰皇家银行(rbs)等公司找到了工作。