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MSc Financial Risk Management金融风险管理硕士专业
学制:全日制1年
开学时间:9月
学费:29250英镑
入学要求: 1. 荣誉学士学位,相关专业,大学最终平均分80%+
2. 语言要求:雅思6.5,单科6.0
课程介绍:
Demand is growing worldwide for experts who have the technical skills to measure and manage financial risk. This Masters
degree prepares you to meet these requirements, equipping you to respond to emerging developments in the global capital
and money markets.
在世界范围内,对有能力衡量和管理金融风险的专家的需求正在增长。这个硕士学位准备你满足这些要求,装备你对全球资本
和货币市场的新兴发展作出反应。
You will gain comprehensive knowledge of essential topics including the dynamics of financial markets, the causes and effects
of financial risk and professional practices for measuring and managing portfolio risk.
您将获得全面的基本知识,包括金融市场的动态,金融风险的原因和影响,以及测量和管理投资组合风险的专业实践。
Compulsory modules
Portfolio Risk Management15 credits 证券组合投资风险
Corporate Finance15 credits 企业金融
Applied Finance15 credits 应用金融
Financial Modelling and Analysis15 credits 金融建模与风险
Financial Derivatives15 credits 金融衍生产品
Accounting and Finance Dissertation60 credits 会计金融论文
Critical Skills for the Finance Professional15 credits 金融人员批判性技能
Optional modules (selection of typical options shown below)选修模块
Security Investment Analysis15 credits 证券投资分析
Forensic Accounting and Finance15 credits 法律财会专业
Behavioural Finance15 credits 行为金融
International Banking and Finance15 credits 国际银行与金融
Financial Reporting and Analysis15 credits 金融报告与分析
Discrete Time Finance15 credits 离散时间金融
职业发展:
Graduates of this course are equipped with the skills and knowledge to pursue a range of career options within finance, including risk management, credit risk analysis, derivatives, insurance and finance research.
Previous graduates have gone on to work for a variety of financial institutions, investment banks, regulators and standard setters, international insurers, asset managers, underwriters and investment funds.
本课程的毕业生具备在金融领域从事风险管理、信用风险分析、衍生品、保险和金融研究等职业选择的技能和知识。以前的毕业生后来在各种金融机构、投资银行、监管机构和标准制定者、国际保险公司、资产管理公司、承销商和投资基金工作。