1.选修课:
Financial Derivatives 金融衍生品
International Finance 国际金融
Behavioural Finance 行为金融学
Applied Risk Management for Banking 应用风险管理银行
Principals of Accounting 会计主体
Asset Management 资产管理
Banking Regulations 银行业监管
Cases in Business Finance 企业财务
Topics in Financial Econometrics 金融计量经济学的主题
Bond Market Strategies 债券市场策略
Alternative Investments 另类投资
Valuation and Private Equity 估值和私人股本
Credit Rating 信用评级
Mergers and Acquisitions 合并和收购
Islamic Finance in Practice 实践中的伊斯兰金融
Portfolio Construction Theory 投资组合构建理论
Strategic Asset Allocation 战略资产配置
Hedge Funds, Venture Capital and LBO’s 对冲基金、风险资本和杠杆收购
2.必修课:
Applied Corporate Finance 应用企业融资
Risk Management for Banking 银行的风险管理
7,000 word dissertation 7000字的论文
Investment Management 投资管理
Commercial and Investment Banking 商业银行和投资银行
Quantitative Methods in Finance 定量方法在金融领域
Eviews 触摸屏
Data Analysis (Ungraded) 数据分析(次级品)