入学要求 Requirement:
学术要求: one of the following:
A good UK honours degree (minimum lower second class)
Equivalent overseas degree recognised by Aston University.
英语要求:one of the following:
•TOEFL score of 620 (paper based) or 260 (computer based) with a TWE of 5, or 105 (internet based) with a minimum score of 25 in writing and speaking and 23 in listening and reading
•IELTS score of 7 overall (with a minimum of 7 in writing and speaking and 6.5 in listening and reading).
学费 Tuition Fee:2011/2012 £15,140
课程特征 Course Features:
This programme is ideal for graduates who have some experience in finance, economics or a mathematical subject but have not majored in finance.
It will provide students with knowledge, understanding and the skills appropriate for careers in the financial sector or a related industry. It is also an excellent qualification for those wishing to enter a career in financial management.
As well as a range of modules on finance theory the programme has a strong focus on practical application of finance within a trading or corporate setting.
课程内容 Course Content :
Modules
BFM102 Valuation of Investments (Double Module)
BFM114 Quantitative Methods for Finance
BFM117 Trading Techniques
BFM119 Security Analysis
BFM120 Investment Management
BFM206 Business Finance
BFM208 International Finance.
教学与评估 Teaching and Assessment:
The seven taught modules are assessed through a mixture of examinations and coursework. The taught element of the programme is complemented by a substantial piece of research leading to the completion of a dissertation.
Career opportunities:
This programme provides you with the knowledge, understanding and skills appropriate to careers in the financial, insurance and corporate sector, such as financial and investment analysis, stockbroking, market trading, investment and commercial banking and corporate finance.
Personal development:
Students will acquire skills in the following areas: giving presentations; team working; report writing; negotiation and IT skills.
On successful completion of the programme students are expected to:
•Demonstrate an understanding of valuation techniques used in financial markets
•Understand how to trade financial securities
•Understand strategic decision-making within a financial context
•Be able to employ risk management techniques
•Use financial statements to analyse financial performance
•Understand the international influences of finance.