This course will cover the traditional syllabus of a general Masters degree in finance and develop extensive expertise in a range of specialised areas such as the management of equity and bond portfolios; trading techniques; asset'liability management; risk management; alternative investments; venture capital and management of foreign exchange.
Term 1: equity analysis; fixed income; portfolio theory; quantitative methods in investment management; research methods module. Term 2: alternative investments; structured products; advanced financial statement analysis; portfolio management.
Course Additional Entry
An Upper 2nd Class Honours degree in any subject as well as GCSE English or equivalent in Cambridge Certificate of Proficiency in English, or TOEFL or IELTS; a minimum score of 7 in IELTS, 600 in TOEFL (250 computer'based) is required.
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