入学要求 Requirement:
学术要求:Students intending to enter this course should have a good first (i.e. Bachelor's) degree performance (e.g. good upper second class honours degree from good UK university, GPA of 3.6 or higher, from good US university; course average of 85% or higher from good PR China university), and their degree background should include significant studies in Economics, including Macroeconomics (or cognate areas like Business Studies, Commerce or Accounting), with some quantitative/ statistical content. Practitioner experience in the financial community can be of advantage, but is not strictly necessary.
英语要求:Good linguistic skills in English are expected (e.g. IELTS 7; or IELTS 6.5, plus four week pre-sessional English training in St Andrews).
学费 Tuition Fee:2012/2013 £15,250英镑
课程特征 Course Features:
This is the fourth year of this Masters programme, which has been developed to reflect the increasing interest in this technical area displayed by postgraduate applicants to St Andrews, allied to a long standing tradition, within this University, of placing our graduates in a wide variety of posts in the financial community.
课程内容 Course Content :
AUTUMN SEMESTER
Compulsory Modules
(All students take the following three 20-credit modules)
EC5801 - Money & Banking
EC5602 Financial Modelling
EC5603 Financial Markets and Institutions
SPRING SEMESTER
Compulsory Modules
(All students take the following two 20-credit modules)
EC5608 Financial Intermediation
EC5802 - Commercial Banking
Optional Modules
(All students choose ONE of these 20-credit modules)
EC5605 Monetary Policy
EC5606 -Corporate Governance & Risk
EC5609 Financial Econometrics
EC5610 - Mergers and Acquisitions
EC5722 - Risk Management
SUMMER SEMESTER
FOR MSc IN ANALYTICAL FINANCE CANDIDATES ONLY. Diploma students may transfer to this status subject to performance, and with permission of the School Examination board.
EC5899 Money Banking and Finance Dissertation