华威的金融硕士专业有MSc Accounting and Finance、MSc Finance 、MSc Finance and Economics、MSc Finance with Behavioural Science和MSc Financial Mathematics 。除了上面所说的本科学位成绩要求高外,还需要有相关学科背景,如会计、金融、经济、工商管理、工程或其他科学,同时对数学、统计也有一定要求。
课程方面,各大金融专业该有的课程,Warwick都有了,内容丰富,选课自由度高,师资自然也是一流的,并无过多可以评点。除了各类专业课程,学校还十分人性化地设置半天关于职业生涯和CV评价课程,并且提供更多的讲习班,涵盖科目包括演讲技巧、 简历、求职信和综合评估等。真不愧是最受企业家雇主喜爱的学校之一。
MSc Accounting and Finance
该课程需要学习6门必修课程和2个选修课程。Accounting课程是必须学习的,而Finance课程则多取自MSc Finance。课程内容包括基本金融知识、数值研究、案例分析、分析报告等。评估内容包括考试、项目工作、测试、论文等等。论文一般在9月份提交。
必修课
Asset Pricing & Investments
Corporate Financial Management
Financial Reporting & Financial Statement Analysis
Issues in Accounting I
Issues in Accounting II
Research Methods in Accounting
选修课(2门,其中一门必须为Accounting)
Accounting Information & Markets
Advanced Corporate Finance
Behavioural Finance
Corporate Governance
Derivative Securities
Financial Risk Management
Fixed Income & Credit Risk
International Financial Management
Judgement & Decision-Making
International Financial Markets
Management Accounting & Control
Market Microstructure
Mergers and Acquisitions & Corporate Control
在bath家的AF还没爬上来之前,Warwick家的AF连续两年稳坐NO.1的宝座,即便这两年排位有些变动,但也没影响Warwick的AF的热门与权威。Accounting的必修课程会分两个学期上,在选修课,Accounting也是必修的选修课,不能更重要!
MSc Behavioural Finance
这是一个用来研究探索人类行为如何影响金融业的专业。听上去有点冷门,但是该专业的金融硕士生就业数据表明,它依然很吃香。有Barclays Capital的股票分析师、Deutsche Bank的流动性风险分析师,世界银行高级金融专家等。
课程方面依然会有6门核心课程覆盖到方方面面,同时有2门选修课。课程设置包括一系列的讲座、理论课和计算机实验等。
必修课(6门)
Asset Pricing
Behavioural Finance
Corporate Finance
Investment Management
Judgement & Decision-Making
Quantitative Methods for Finance
选修课(2门)
Alternative Investments
Advanced Corporate Finance
Big Data Analytics
Derivative Securities
Empirical Finance
Financial Reporting & Financial Statement Analysis
Financial Risk Management
Fixed Income & Credit Risk
International Financial Management
International Financial Markets
Practice of Investment Management
Market Microstructure
Mergers and Acquisitions & Corporate Control
MSc Finance
金融时报中报道Warwick家的finance属于纯F专业中的英国第一,世界排名第15。毕业生在毕业后三个月内基本都能找到很好的工作。
课程方面依然会有6门核心课程覆盖到方方面面,同时有2门选修课。课程设置包括一系列的讲座、理论课和计算机实验等。不同的是,论文只有8,000字。
必修课(6门)
Quantitative Methods for Finance
Asset Pricing
Corporate Finance
Investment Management
Empirical Finance
Practice of Investment Management
选修课(2门)
Advanced Corporate Finance
Behavioural Finance
Derivative Securities
Banking and Financial Institutions
Financial Reporting & Statement Analysis
Judgement & Decision-making
Financial Risk Management
Fixed Income & Credit Risk
International Financial Markets
International Financial Management
Big Data Analytics
Alternative Investments
Market Microstructure
Mergers and Acquisitions & Corporate Control
小编总结:从以上还是可以看出华威大学金融类硕士专业实力还是很强的,但是难度也是非常大的哟,如果你有很好的海外交换背景,或者很高的GMAT成绩,并且属于211院校,也可以尝试一下。加油哟!