入学要求 Requirement:
学术要求: A good degree in a relevant subject, such as accounting, finance, economics, business, engineering or other sciences. Graduates with degrees without a substantial mathematical content may be required to attend a two-week preparatory course in mathematics and statistics prior to the start of the programme in September.
英语要求:IELTS 6.5 or TOEFL 90
学费 Tuition Fee:20112012 £ 13,195
课程特征 Course Features:
This Master's programme is a flexible qualification which offers career opportunities in investment banks, financial and management consultancies, auditing firms, risk management departments of financial institutions and government departments. The programme has an international perspective and aims to offers academic rigour combined with practical application and vocational orientation.
课程内容 Course Content :
•Corporate Finance
•Investment Analysis
•Financial Statements
•Quantitative Methods for Finance and Risk
•Financial Risk Management
•Portfolio Management
•Derivatives
•Fund Management
These modules are supplemented by a list of electives which focus on specific areas of finance, investment or risk. Stock market games and talks by industry practitioners enhance learning and provide practical training.
教学与评估 Teaching and Assessment:
Assessment for most modules is by coursework and an end-of-year written examination paper for each subject.