Master of Advanced Finance
必修课程 |
Applied investments Global financial markets Corporate treasury management Modelling in finance Funds management Case studies in finance Advanced derivatives Financial econometrics |
应用投资 全球金融市场 公司财务管理 融资中的建模 资金管理 金融领域的案例研究 高级衍生产品 金融计量经济学 |
选修课程 |
下列课程中选择8门: Climate change and carbon management strategies Institutional asset and liability management Credit risk modelling Bank lending International banking Treasury and financial markets Project finance Financial markets and technology Mergers and acquisitions Special topics in finance Corporate sustainability regulation Modelling in finance and insurance Business forecasting Applied financial econometrics High dimensional data analysis Data visualisation and analytics Quantitative methods for risk analysis Algorithms and programming 或者修读下列8门: Research skills Corporate finance and intermediation theory Empirical corporate finance and banking Financial econometrics Asset pricing theory Empirical asset pricing and investments |
下列课程中选择8门: 气候变化与碳管理战略 机构资产与负债管理 信用风险模型 银行贷款 国际银行业 财政和金融市场 项目融资 金融市场与技术 并购 金融专题 企业可持续性监管 金融保险学模型 业务预测 应用金融计量学 高维数据分析 数据可视化和分析 风险分析的定量方法 算法与程序设计 或者修读下列8门: 研究技能 企业融资与中介理论 公司金融与银行业经验 金融计量经济学 资产定价理论 经验资产定价与投资 |
Master of Banking and Finance
必修课程 |
Accounting for business Financial management theory Economics Business statistics Case studies in banking and finance Institutional asset and liability management Bank lending International banking Financial institutions and markets Portfolio management and theory Financial modelling |
企业会计 财务管理理论 经济 商业统计 银行与金融案例研究 机构资产与负债管理 银行贷款 国际银行业 金融机构和市场 投资组合管理与理论 财务模型 |
选修课程 |
Options, futures and risk management Advanced derivatives Financial statement analysis and business valuation Introduction to financial accounting Management accounting Climate change and carbon management strategies Credit risk modelling Funds management Mergers and acquisitions Introduction to risk management Risk financing and treasury management Treasury and financial markets International study program in banking and finance Scandal: Risk, ethics, and consequences in finance law Corporate sustainability regulation High dimensional data analysis Data visualisation and analytics Quantitative methods for risk analysis Algorithms and programming |
期权、期货和风险管理 高级衍生品 财务报表分析与企业价值评估 财务会计概论 管理会计 气候变化与碳管理战略 信用风险模型 资金管理 并购 风险管理概论 风险融资与资金管理 财政和金融市场 国际银行与金融研究计划 丑闻:金融法中的风险、伦理与后果 企业可持续性监管 高维数据分析 数据可视化和分析 风险分析的定量方法 算法与程序设计 |
注释:以上均为2020年课程设置