专业名称:Financial Risk Management MSc
1入学
A minimum of an upper second class UK Bachelor's degree, in a relevant discipline, or an overseas qualification of an equivalent standard, with a strong quantitative component evidenced by good performance (higher than 60%) in relevant mathematics, statistics or computation options.
英国相关学科的二等以上学士学位,或同等标准的海外资格,且在相关数学、统计或计算选项中表现良好(超过60%),且数量成分较强。
2雅思7.0/6.5
3学费 £30,140 (FT)
4课程设置
Compulsory modules
Financial Data and Statistics (15 credits)
Financial Engineering (15 credits)
Market Risk, Measures and Portfolio Theory (15 credits)
Probability Theory and Stochastic Processes for Finance (15 credits)
Optional modules
Students choose 60 credits from the optional group.
Algorithmic Trading (15 credits)
Applied Computational Finance (15 credits)
Financial Institutions and Markets (15 credits)
Machine Learning with Applications in Finance (15 credits)
Market Microstructure (15 credits)
Networks and Systemic Risk (15 credits)
Numerical Methods for Finance (15 credits)
Operational Risk Measurement for Financial Institutions (15 credits)
Quantitative Modelling of Operational Risk and Insurance Analytics (15 credits)
Please note: the availability and delivery of optional modules may vary, depending on your selection.
强制模块
财务数据与统计(15学分)
金融工程(15学分)
市场风险、度量和投资组合理论(15学分)
金融学概率论与随机过程(15学分)
可选模块
学生从可选组中选择60个学分。
算法交易(15学分)
应用计算金融学(15学分)
金融机构及市场(15学分)
金融应用机器学习(15学分)
市场微观结构(15学分)
网络与系统风险(15学分)
财务数值方法(15学分)
金融机构经营风险度量(15学分)
运营风险与保险分析的定量模型(15学分)
请注意:根据您的选择,可选模块的可用性和交付可能会有所不同。
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