入学要求 Requirement:
学术要求: a good Upper Second class honours degree or overseas equivalent, in a relevant discipline (see How to apply for more details)
英语要求:IELTS 6.5 (no element under 6.0) or TOEFL 92 (no element under 22)
学费 Tuition Fee:2011/2012 £16,500
课程特征 Course Features:
Our MSc Finance programmes are widely acknowledged as being among the strongest in the UK. These one-year, full-time postgraduate degrees are designed to help you acquire a strong foundation of knowledge and to develop the analytical skills necessary for a career in the financial sector.
Our reputation is enhanced by first class teaching faculty and cutting-edge research of international standing, ensuring you are kept abreast of the latest thinking in finance.
CFA® Partnership
Our Economics and Finance Masters programmes have CFA® recognition through our partnership status with the Institute.
The CFA Charter is becoming the accepted benchmark for technical excellence in financial markets, which will help you stand out to employers. The partnership guarantees that we cover 70% or above of their curriculum to the highest standards which means you have a head start to the internationally-recognised CFA qualification.
Our MSc students benefit from this partnership, among other ways, through participation in the CFA Global Investment Research Challenge, CFA employer networking events, and scholarships.
课程内容 Course Content :
You will study eight taught modules and a dissertation. Unlike most Masters programmes, you get to choose from a range of modules, allowing you to tailor your degree to your interests or chosen career.
The list below sets out which modules are compulsory and which are optional for each degree route.
C = compulsory, O = optional.
Accounting Theory O
Advanced Financial Theory C
Advanced Macroeconomics C
Advanced Microeconomics C
Auditing and Assurance Services O
Behavioural Finance and Economics O
Corporate Finance C
Derivative Markets O
Econometrics 1 C
Econometrics 2 C
Environmental Economics and Policy O
Experimental Economics and Finance O
Financial Risk Management O
Innovation, Technology and Economic Growth O
International Economics O
International Finance O
International Financial Asset Management O
Market Microstructure O
Mergers & Acquisitions O
Monetary Economics O
Portfolio Management O
Public Economics O
Security Analysis O
Dissertation and Research Methods C