入学要求 Requirement:
学术要求: You will need a degree of at least upper second class standard from a UK university, or its equivalent. We assume that applicants will have some knowledge of mathematics and statistics. Interesting applicants with weak backgrounds in this regard will be required to take an LSE Summer School course. If your degree is not from a UK university, you must submit a GMAT test score with your application. Decisions will not normally be made in the absence of this test result. We generally look for a GMAT score of over 650; exceptionally we will consider a GRE score over 700.
英语要求:IELTS 7.0 or internet-based TOEFL 107.
学费 Tuition Fee:2012/2013 £21,312
课程特征 Course Features:
This is an interdepartmental programme which is administered through the Department of Finance and offers the following benefits:
•Teaching by internationally renowned faculty from several departments and with practitioners expert in the area.
•Multi-disciplinary exposure to different approaches to risk, its management and regulation through teaching and your own independent study.
•The possibility of an optional internship at a leading bank to gain hands-on risk management experience.
•An opportunity for students with prior training in diverse disciplines and with a range of professional backgrounds to acquire knowledge on risk management and regulation, and to deepen their competency in a chosen area of specialisation.
•Wide ranging coverage of topics in the area combined with a rigorous, in depth exploration of others.
•Equips students for career opportunities in: consulting, finance and banking, insurance, management, regulation and supervision, public administration.
课程内容 Course Content :
Course one
•Management and Regulation of Risk
Course two
Choose from the following amounting to one full unit:
(* half unit)
•Valuation and Security Analysis*
•Accounting in the Global Economy*
•Financial Risk Analysis*
•Forecasting Financial Time Series*
•Fixed Income Markets*
•Applied Corporate Finance*
•Corporate Finance and Asset Markets
•Corporate Finance A*
•Quantitative Methods for Finance and Risk Analysis*
•Portfolio Management*
•International Finance*
•Stochastic Processes*
•Asset Markets A*
•Principles of Decision Sciences*
•Real Estate Finance*
Course three
Choose from the following amounting to one full unit:
•Accountability, Organisation and Risk Management*
•Environmental Regulation: Implementing Policy
•Economic Appraisal and Valuation*
•Concepts in Environmental Regulation*
•Corporate Governance
•Law of Corporate Finance
•Regulation of Financial Markets
•Corporate and Financial Crime
•Regulation, Risk and Economic Life
•The World Trading System*
•Strategy for the Information Economy*
•Issues in Environmental Governance*
•Risk and Governance: A Sociological Approach*
Course four
Other full or half unit courses amounting to one full unit from options above, or others with the approval of the course director.