这门硕士课程提供了有关金融领域,尤其在投资分析、企业财政、银行学方面非常具有实践和理论效用的学习,本课程的内容设置对那些将自己职业定位在金融行业的学生具有特别的吸引力。
专业背景要求:无特殊专业背景要求,但要求申请者有一定的高数基础。
该课程模块如下:
Pre-sessional modules
Mathematics
Statistics
Core modules
Financial Statements
Investment Management
Commercial and Investment Banking
Quantitative Methods in Finance
Eviews
Risk Management for Banking
Data Analysis
Dissertation
Optional modules
Financial Derivatives
International Finance
Empirical Finance
Behavioural Finance
Applied Risk Management for Banking
Principals of Accounting
Asset Management
Applied Futures and Options
Banking Regulations
Cases in Business Finance
Topics in Applied Finance
Topics in Financial Econometrics
Bond Market Strategies
Alternative Investments
Valuation and Private Equity
Topics in Actuarial Finance and Insurance
Credit Rating
Mergers and Acquisitions
更多资讯请见伦敦玛丽女王大学
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