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伯明翰大学公共管理金融方向

伯明翰大学公共管理金融方向(有关金融专业)

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大家好,关于伯明翰大学公共管理金融方向很多朋友都还不太明白,不过没关系,因为今天小编就来为大家分享关于有关金融专业的知识点,相信应该可以解决大家的一些困惑和问题,如果碰巧可以解决您的问题,还望关注下本站哦,希望对各位有所帮助!

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有关金融专业

英国留学,查看专业详细设置来选择专业(以金融专业为例)留学选择专业,一定要根据专业的具体设置来确定你的选择方向是否正确。以金融专业来说大致有几个方向,其中有数理分析为主的金融,有倾向于会计方向的金融,另外还有倾向于财政、投资的金融,另有些金融专业与银行专业关联等,以上大部分是偏理的金融,毕业的时候获得的是理学硕士MSC;还有少部分与管理专业关联,毕业后获得文科硕士MA。有些学生在国内的本科是偏文的金融专业,必须重视这个问题,因为本科阶段较少的涉猎数学计算的问题。所以说,选择英国留学,查找专业和学校,不能偷懒嫌麻烦, 也不能单纯的听别人说,要事必躬亲自己到学校的网站上“研究”一番,找到自己理想的专业,否则,选择错误将造成学习过程中很大的麻烦。下面我们以几个排名比较突出的英国名校的金融专业,来比较一下哪个学校的金融专业符合你的想象。牛津大学:MSc Mathematical and Computational FinanceThe finance sector is a leading employer of mathematics graduates. This MSc trains graduates with a strong mathematical background to apply their expertise to the solution of real finance problems. Students take a minimum of four core courses in mathematical methods and numerical analysis, and a minimum of two optional courses, as well as writing a dissertation. 1. Introductory Courses2. Core Lecture Courses Practical Stochastic Calculus Stochastic Differential EquationsAsset Pricing and Portfolio TheoryFinancial Derivatives 1Numerical Methods 1Stochastic Calculus and FixedFinancial Derivatives 2Numerical Methods 2Stochastic Control and Dynamic Asset Allocation 13. Optional lecture courses 4. Dissertation 5. Programming Courses爱丁堡大学:MSC in Finance and Investment ProgrammeMost business schools offer an MSc in Finance. Few offer an MSc with such a strong investment component. A powerful blend of academic rigour and vocational insight, the MSc in Finance and Investment will add considerably to the knowledge of those looking to further their career in this vital sector.The School’s location in the UK’s second largest financial centre allows us to attract visiting speakers from the key financial institutions, fund managers and analysts. Students are able to interact with leading figures from many major companies; this is particularly evident in the dissertation, which offers an invaluable opportunity to collaborate on a topic that has real, of-the-minute industry relevance.The practical, theoretical and numerical skills learnt through the programme, as well as the global perspective of investment markets and asset classes, will leave you well qualified for a range of finance related professions. We expect graduates to take up positions in investment analysis, portfolio management, financial statement analysis and evaluation, corporate finance, product development, client servicing and risk management.The School is a recognised partner institution by the Chartered Financial Analysis (CFA) Institute and the School is recognised as a Centre of Excellence in the provision of postgraduate education in finance and investment by the UK Securities and Investment Institute (SII).Learning OutcomesStudents who follow this programme will gain knowledge and understanding of: global financial markets and the finance and investment industry; the roles of different organisations and how they interact; plus the factors behind their success and failure;  the role of different asset classes; how to estimate the fair value for an investment; how to test assumptions and sensitivities, and compare different investments; how portfolios of investments can be constructed and analysed.华威大学专业:MSc in Finance ObjectivesTo provide students with a strong foundation in both the principles and practice of finance, together with the analytical tools required by the finance industry. The course exposes students to different fields of finance, specialising in either Investment Management or Corporate Finance.Entry SpecificationsYou should ideally have (or expect to obtain) a first or upper second class honours bachelor’s degree from a British university or the equivalent from an overseas university. The degree should be in a relevant subject, which could include Accounting and Finance, Economics, Business Administration; also Engineering or other science-based degrees. In addition, a good standard should have been achieved in mathematics and statistics at the undergraduate level. For applicants whose first language is not English, we also require a high level of competence in written and spoken English.Course OutlineCore modules:  Asset Management Foundations of Corporate Finance Economics of Financial Markets International Finance Quantitative Methods for Finance Empirical FinanceStudents specialise by taking either the Investment Management stream studying the following modules:  Derivative Securities Fixed Income & Credit Risk or the Corporate Finance stream studying the following modules: Advanced Corporate Finance  Financial Reporting & Statement AnalysisElective modules (students choose two) may include:  Behavioural Finance International Financial Management Corporate Governance Risk Management (or one from the stream not already studied)Dissertation from July to SeptemberAssessmentWritten examinations, module tests, coursework, plus dissertation.伦敦政经: MSC in Finance Programme The MSc Finance full-time programme has been designed to meet the needs of high-level graduates from fields not specifically relating to finance, whose career objectives lie broadly within the financial services sector. The foundation of the programme is built in the first term with the study of two core courses – Asset Markets and Corporate Finance. Asset Markets takes the student from fundamental concepts to up to date applications in fixed-income, equity, and derivatives markets. Corporate Finance begins with the firm’s investment decision and the cost of capital. This in turn is linked to the firm’s financial structure and market environment where the firm operates. It studies in detail major financial decisions including dividend choice, going public, mergers and acquisitions, and restructuring in financial distress. In the second term, students deepen their knowledge by taking four optional half unit courses, on topics such as financial systems, risk management, portfolio management methods, advanced derivatives and structured financial products, fixed income, advanced corporate finance, and applied financial valuation. Students will also be required to write an extended essay in the place of an exam in one of the four optional courses. The MSc Finance full-time programme follows the same syllabus as that of the part-time MSc Finance evening programme, which is focused towards professionals currently working in London’s financial services sector. Both modes of the MSc Finance programme allow students access to a number of specifically designed applied courses, taught in part using case studies, and the opportunity to gain deeper practical insight and links to the City. The programme is aimed at people with good undergraduate degrees and good quantitative skills. Admission to the programme is very competitive, in previous years the majority of students accepted into the programme have obtained first class degrees or the equivalent. Applicants without a UK undergraduate degree are required to submit a GMAT test (GRE is acceptable exceptionally), however the GMAT is also strongly recommended for all students with UK undergraduate degrees, especially those who have not achieved or are not expected to achieve a first class degree, or whose quantitative skills are not demonstrated by their undergraduate studies. Applicants are also required to have studied a minimum of A level Mathematics (or its equivalent). The mathematics used in the programme includes basic calculus and statistics. Admitted students are required to attend a pre-sessional Quantitative Methods course in September. Applicants from developing countries may be eligible to be considered for one of the Lord Dahrendorf Scholarships (sponsored by Deutsche Bank). For more information, please see the Department of Finance Term 1: Compulsory courses  Corporate Finance  Asset Markets Term 2: Options (* half unit) Choose four half unit options from the following list of courses:  Applied Financial Valuation* †  Financial Engineering* †  Fixed Income Securities and Credit Markets* † or Fixed Income Markets*  Risk Management and Financial Institutions* †  Topics in Portfolio Management* †  Corporate Finance Theory*  International Finance* You will be required to write a 6,000 word dissertation (replacing the exam) in one of your half unit courses. † Exclusive to MSc Finance students 伯明翰大学:Money, Banking and Finance MScProgrammeThe MSc in Money, Banking and Finance is our most popular programme. There is a worldwide demand for those trained in the area, which shows no sign of abating. Graduates from the programme hold high-ranking positions in financial centres around the globe. In addition to those aiming at careers in the private sector, it attracts economists currently working in economics, treasury or finance ministries, or in central banks, and graduates preparing for such careers.The programme comprises 180 credits in total (credits are given in brackets).Compulsory courses• Macroeconomics (30)• Econometrics with Financial Applications (30)• Economics of Financial Markets (20)• International Banking and Finance (20)• Topics in Money and Banking (10)• Risk, Uncertainty and Information (10)• Option (20)• Dissertation (40)The option is selected from:• International Banking: Regulation and Supervision• International Investment• Security Analysis and Portfolio Theory• Development Economic Policy• International Trade Policy• Political Economy and Economic Policy• Natural Resource Economics• Game Theory• Economics of Labour Markets• A graduate course offered elsewhere in the Schools of Business, Public Policy or Social Sciences (subject to approval)

英国金融硕士专业怎么选

英国的金融硕士常见的专业细分方向有哪些?简单总结:会计金融及财务管理、投资管理、风险管理、货币银行与金融、国际金融、金融数学、金融工程。(笔者注:这里故意避过纯金融,也就是MSc Finance。)1. 会计金融及财务管理方向:作为金融专业最重要的分支之一,几乎每个拥有商学院或管理学系的大学都开设会计金融或财务管理相关的课程,核心课程一般包括:管理会计与战略、财务会计、企业金融、财务报表分析、金融计量经济学等,核心课程中会计和财务报表分析的比重会比较大,管理会计和财务会计一般会上到比较高级的阶段;因而, 虽然大学并不要求学生本科必须是会计专业背景,但实际上你最好有比较好的会计学基础。【学校和课程举例】伦敦政治经济学院:MSc Accounting and Finance帝国理工学院:MSc Finance and Accounting爱丁堡大学:MSc Accounting and Finance, MSc Financial Management兰卡斯特大学:MSc Accounting and Financial Management杜伦大学:MSc Finance (Accounting and Finance)2. 投资管理方向:投资是一个很金融非常重要的分支,这点毋庸置疑;常见的核心课程包括:投资与组合管理、金融市场(证券、债券、货币、外汇、期货等)、衍生品市场、金融数学或统计、金融计量经济学等,总之学生要学习到的除了基本的金融市场、金融工具、投资理论和组合管理的基本知识外,还要具备基本的定价、风险评估等定量分析方法。【学校和课程举例】帝国理工学院:MSc Investment and Wealth Management爱丁堡大学:MSc Finance and Investment杜伦大学:MSc Finance (Finance and Investment)伯明翰大学:MSc Investment雷丁大学:MSc Investment Management3. 风险管理方向:不同学校的风险管理课程差别很大,有的只是在基本的金融或投资管理课程基础上加了一些纯风险相关的课程,而有些学校则彻底把风险管理与金融数学和金融工程相结合来授课;因而风格差别很大,选择的时候要仔细比较课程。基本核心课程包括:市场风险、信用风险、风险管理与评估、金融工具、投资组合管理、金融决策、数理金融、金融计量经济学等。【学校和课程举例】伦敦政治经济学院:MSc Finance and Risk帝国理工学院:MSc Risk Management and Financial Engineering曼彻斯特大学:MSc Quantitative Finance: Risk Management巴斯大学:MSc Finance with Risk Management雷丁大学:MSc Financial Risk Management4. 货币银行与金融方向:这个方向很显然就是针对银行业了,主要核心课程包括:货币与银行、国际金融、金融基础、金融市场、金融经济学、货币经济学、计量经济学等;其他选修课与其他金融课程基本一致。值得一提是,有些学校的该方向课程开设在金融分支下,有的开设在经济分之下,有的兼而有之,比如巴斯大学。【学校和课程举例】爱丁堡大学:MSc Banking and Risk兰卡斯特大学:MSc Money, Banking and Finance巴斯大学:MSc Finance with Banking, MSc International Money and Banking伯明翰大学:MSc International Money and Banking, MSc Money, Banking and Finance杜伦大学:MSc Finance (International Banking and Finance)5. 金融数学/统计方向:金融数学或者数理金融方向,简单说就是用数学和统计的方法,来分析和解决金融问题,辅助金融风险预测和管理。由于涉及到数学的课程比较多,一般都要由商学院和数学系联合进行授课,课程比例根据不同学校有所区别。基本核心课程包括:随机过程、期权和衍生品定价、数理金融、风险管理、计算机分析方法、金融统计、时间序列分析等。此专业对数学能力要求较高,建议本科学习数学、统计等相关专业的学生申请(但该专业方向也会录取部分本科商就读科、理工、计算机、经济学背景的学生,但须证明自己在相关数学话题上的能力)。【学校和课程举例】帝国理工学院:MSc Mathematics and Finance伦敦政治经济学院:MSc Financial Mathematics, MSc Statistics (Financial Statistics)伦敦大学学院:MSc Financial Mathematics华威大学:MSc Financial Mathematics爱丁堡大学:MSc Financial Mathematics曼彻斯特大学:MSc Financial Mathematics6. 金融工程方向:金融工程是金融、数学和计算机三个领域知识的结合,目前开设该专业专业方向的英国大学尚属少数。主要核心课程包括:证券、期货与期权,固定收入证券、投资组合管理、数理金融、金融工程、计量经济学、博弈论、随机微积分与布莱克-舒尔兹模型、C++和MATLAB等计算机方法。【学校和课程举例】帝国理工学院:MSc Risk Management and Financial Engineering曼彻斯特大学:MSc Quantitative Finance: Financial Engineering约克大学:MSc Financial Engineering伯明翰大学:MSc Financial Engineering雷丁大学:MSc Financial Engineering

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