入学要求 Requirement:
学术要求:You should have a good first degree (2:1 or higher) in a relevant degree such as accounting, finance, economics, mathematics, physics, or engineering.
英语要求: IELTS 6 or more in each section and an overall score of 6.5.
学费 Tuition Fee:2011/2012 £14,500
课程特征 Course Features:
Our Masters programme is delivered by lecturers with research and consultancy experience in credit, banking and financial services. Their real world experience informs the programme content, which is stimulating and highly regarded by potential employers.
课程内容 Course Content :
Compulsory Modules:
Applied Finance
Corporate Finance
Quantitative Methods
Risk and Insurance
Financial Derivatives
Dissertation Route:
Research Methods in Finance
PLUS one of the following:
Security Investment Analysis
Corporate Governance
International Banking and Finance
Applied Financial Modeling
International Business Finance
Portfolio Risk Management
Non-Dissertation Route:
Securities Markets Microstructure
Current Issues in Finance
Consumer and Corporate Credit
PLUS two of the following:
Security Investment Analysis
Corporate Governance
International Banking and Finance
International Business Finance
职业前景 Career Prospects:
As an MSc Financial Risk Management graduate you will be able to access a range of career options within finance, including risk management, credit risk analysis, derivatives, insurance and finance research. The flexibility of the course structure enables you to focus on areas of specific interest.