项目背景
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更新时间:2024-11-01
开学时间9月
课程学制1年
学费36000.00/GBP
专业介绍
The aim of the MSc in Banking and Risk is to give students the knowledge, understanding and key skills that will enable them to be effective managers in financial institutions, especially banks, in any country in the world.
Recent events demonstrate that the successful management of banks is of crucial importance to western economies. Banking is an industry rather than an academic discipline, and the study of the management of banks is multidisciplinary.
The approach of this programme is to consider the structural, financial and risk and asset management functions of banks.
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语言要求
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总分
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学术要求
专业领域:1 管理科学,运筹学,统计学,计量经济学,数学,物理学,计算机科学或工程学等。
2 【商业,管理,金融或经济类专业】+计量类科目。
美本3.25/4,加本3.25/4或7/9。
课程设置
Compulsory couses 必修课
Statistics for Analytics:分析统计
Programming for Risk Analytics:风险分析编程
Corporate Reporting Analysis:公司报告分析
Introduction to Risk Management in Banks:浅谈银行风险管理
Credit Risk Management:信用风险管理
Econometrics Applications in Banking:计量经济学在银行业中的应用
Dissertation (MSc Banking Innovation and Risk Analytics):论文 (理学硕士银行创新和风险分析)
Optional courses 选修课
Investment Management:投资管理
Blockchain and Cryptofinance:区块链和加密金融
Data Mining 1:数据挖掘1
Data Mining 2:数据挖掘2
Financial Engineering:金融工程
Financial Machine Learning:金融机器学习