免费回拨
课程名称:伦敦大学学院金融风险管理硕士课程
课程类型:硕士课程-会计 / 金融 / 经济硕士
学校名称:伦敦大学学院 UCL
学校位置:伦敦
课程长度:12个月
开学日期:10月
 

介绍:

入学要求 Requirement:

学术要求:A minimum of an upper second class UK Bachelor's degree, in a relevant discipline, or an overseas qualification of an equivalent standard, with a strong quantitative component evidenced by good performance (>60%) in relevant mathematics, statistics or computation options.

英语要求: Overall grade of 7.0 with a minimum of 6.0 in each of the subtests.

学费 Tuition Fee: Overseas 2012/13: £20,000

 
课程特征 Course Features:

This brand new MSc programme, designed in conjunction with leading risk professionals, aims to meet the growing demand for professionals who are highly skilled in quantitative risk management. Students gain core competencies in risk analysis and have the opportunity to tailor the programme to their own interests and needs through the wide variety of options available.

 
课程内容 Course Content :

Core Modules
Stochastic Methods in Finance
Decision and Risk
Market Risk, Measures and Portfolio Theory
Financial Data and Statistics

Options
Option modules are expected to include the following:
Introductory Programming
Financial Institutions and Markets
Quantitative and Computational Finance
Compliance Risk and Regulation
Programming & Mathematical Methods for Machine Learning
Interest Rate and Credit Modelling
Applied Computational Finance in C++/Mathematica
Statistical Inference
Supervised Learning
Dissertation/report

 

关于我们-公司招聘 -文档下载-联系我们-RSS-机构合作-相关链接-网站地图
蓝天留学 上海英申教育信息咨询有限公司 沪ICP备08019203号-1
  沪公网安备 31010402001834号
Copyright ? 2007 Blue Sky Study (BSS). All Rights Reserved.