英国纽卡斯尔大学量化金融与风险管理专业 项目网站

Quantitative Finance and Risk Management

英国 公立 商科

项目背景

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更新时间:2024-01-15

专业排名N/A

大学英国纽卡斯尔大学

开学时间9月

课程学制1年

学费28900.00/GBP

专业介绍

Our Quantitative Finance and Risk Management MSc will develop your understanding of generalist finance issues. You'll also develop specialist practical skills in quantitative methodology and risk management. Develop your career in financial services, or as a quantitative analyst in investment banking and risk management fields. There has been worldwide growth in the financial services sector. This has fuelled the demand for suitably qualified graduates. We ensure you'll graduate ready to meet this demand. You'll develop a sound understanding of generalist finance issues, and gain specialist skills in quantitative methodology and risk management. You'll be able to develop a career in the financial services sector. The course is also suitable for future quantitative analysts in economics and finance.

推荐顾问

语言要求

类型
雅思
托福
PTE
Listen
6
19
65
Speak
6
22
65
Read
6
20
65
Write
6
20
65
总分
6.5
90
70

学术要求

不明确+含微积分,概率,统计科目

课程设置

Compulsory Modules:必修模块 Dissertation:论文 MATLAB for Finance:金融MATLAB Risk Modelling:风险建模 Applied Econometrics:应用计量经济学 Research Methods in Economics and Finance:经济学与金融学的研究方法 Introductory Econometrics:入门计量经济学 Financial Theory:金融理论 Financial Derivatives:金融衍生工具 Critical Skills for Finance:金融的关键技能 Optional Modules:可选模块 International Money and Banking:国际货币和银行业务 Behavioural Finance:行为金融学 Retail and Investment Banking:零售和投资银行业务 International Finance:国际金融 Corporate Finance:公司财务 Portfolio Management:投资组合管理 Financial Technology:金融科技 Green Finance and Sustainability:绿色金融与可持续性