利兹大学金融风险管理专业项目网站

Financial Risk Management

英国公立商科

项目背景

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更新时间:2024-07-09

专业排名N/A

大学利兹大学

开学时间9月

课程学制1年

学费34750.00/GBP

专业介绍

Demand is growing worldwide for experts who have the technical skills to measure and manage financial risk. This Masters degree prepares you to meet these requirements, equipping you to respond to emerging developments in the global capital and money markets. You will gain comprehensive knowledge of essential topics including the dynamics of financial markets, the causes and effects of financial risk and professional practices for measuring and managing portfolio risk. You can also choose optional modules allowing you to specialise in areas such as accounting, international banking and security investment analysis. Learning from highly qualified teaching staff involved in world-class research in financial risk management, you will test your knowledge in genuine business scenarios during practical case study exercises and simulations. Thanks to our excellent links with industry and commerce, you will gain an understanding of the latest challenges in financial markets worldwide.

推荐顾问

语言要求

类型
雅思
托福
PTE
Listen
6
19
60
Speak
6
22
60
Read
6
20
60
Write
6
21
60
总分
6.5
88
64

学术要求

相关专业如会计,金融,经济,数学,物理,工程。

先修科目:strong计量科目且成绩优异。

课程设置

Compulsory 必修 Portfolio Risk Management:投资组合风险管理 Corporate Finance:公司财务 Applied Finance:应用金融 Financial Modelling and Analysis:财务建模与分析 Financial Derivatives:金融衍生工具 Accounting and Finance Dissertation:会计与金融学位论文 Critical Skills for the Finance Professional :金融专业人员的关键技能 Optional 选修 Security Investment Analysis:证券投资分析 Forensic Accounting and Finance:法务会计和财务 Behavioural Finance:行为金融学 International Banking and Finance:国际银行和金融 Financial Reporting and Analysis:财务报告和分析 Discrete Time Finance :离散时间金融

申请案例

学生姓名:唐**

毕业学校:中国人民大学

本科专业:国民经济管理 Management of National Economy

基本背景:四年级/GPA83.73/100/雅思0