This programme will equip you with the necessary statistical (particularly econometric) skills and quantitative approaches to risk and derivatives.
Econometric principles and data analysis; econometric analysis and applications; financial econometrics; risk management (principles and applications); derivatives; modelling firms and markets.
Course Additional Entry
A good degree in finance, economics, or other appropriate discipline, from a university or other institution acceptable to the university (qualifications in other subjects will be assessed on their merits).
|Duration & Attendance||Qualification||Tuition fees||Fee type|
1 - 5 years