位置:安省多伦多市
专业:Master of Finance金融学硕士
学制:20个月
课程:
RSM 4113H (0.25 FCE)
Macroeconomics for Finance Professionals
RSM 4216H
Financial Reporting an Financial Statement Analysis
RSM 4220H
Avance Accounting Topics for Finance
RSM 4310H
Founations of Finance
RSM 4314H
Risk Management an Financial Institutions
RSM 4315H
Investment Banking an Corporate Valuation
RSM 4317H
Analysis of Fixe Income Markets
RSM 4318H
Applie Portfolio Management
RSM 4319H
Forecasting Risks an Opportunities for Financial Securities
RSM 4322H
Applications of Derivatives Proucts
RSM 4323H
Investments
RSM 4324H
Innovations in Financial Technology
申请要求:
成绩:Mi-B
GMAT或者GRE考试
如果满足以下条件可以免除GMAT或者GRE
通过了CPA考试中的CFE
通过英国的CFA二级认证
GPA在3.5以上
获得工程学或者精算科学ACIA或者FCIA
专业:Master of Financial Risk Management金融风险管理硕士
www.rotman.utoronto.ca/Degrees/MastersPrograms/MFRM
学制:10个月
课程设置:
9月-5月
Financial Markets, Risk an Institutions
Regulation of Financial Institutions
Operational Risk
Avance Investments
Innovations in Financial Technology
January to mi-March: Risk Management Project(1月-3月中旬)
Samples of project topics inclue:
Present the pros an cons of heging FX exposure for a pension plan
Estimate traing book loss ue to global market shocks for CCAR
Compare the reliability an relevance of ifferent liquiity metrics
Propose a technology solution for non-cleare OTC erivatives
Assess the impact of IRRBB regulation on Canaian banks
Mi-March to en-June, five courses:(3月-6月 五门课程)
Topics in Financial Risk
Creit Risk
Probabilistic Moelling for Risk-Informe Decisions
Macroeconomics for Financial Risk Management Professionals
Derivative Moels for Risk Management
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