课程设置
包含4门必修课程,4门选修课程,以及1篇论文(15000字)
必修课程
Introduction to Big Data Analytics in Finance (15 credits)
Principles of Finance (15 credits)
Data Analysis and Visualisation (15 credits)
Business Risk Analytics (15 credits)
选修课程(以下科目中任选4门)
Empirical Finance (15 credits)
Corporate Finance (15 credits)
Financial Econometrics (15 credits)
Behavioural Finance (15 credits)
Portfolio Management (15 credits)
Big Data and Text Business and Finance Analytics (15 credits)
FinTech Analytics and Robo Trading (15 credits)
Conduct Risk Management (15 credits)
评估考核
课程的评估的形式通常包括论文和其他书面作业、口头陈述、实验室工作,有时还包括考试,具体取决于所选模块。