This course is designed for those looking to either extend the scope of their current responsibilities or to make a career change into an area such as portfolio management, security analysis, risk management, or financial consultancy.
Year 1: theory of finance; quantitative methods for finance; securities; financial statement analysis plus optional modules. Year 2: financial risk management; portfolio management; structured products; alternative investments plus optional modules.
Course Additional Entry
A good Bachelors degree usually a UK 2.1 or above or the equivalent from an overseas institution; some level of previous study in finance or quantitative methods is preferred; IELTS 7.0 with a minimum of 6.5 in writing is required for international applicants.
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