北方商学院

MSc in Risk & Finance (Part-Time)

申请材料

个人简历(CV)
申请信(PS)
申请表
2份推荐信
大学成绩单
大学在读证明/学位证书
GMAT成绩单
雅思/托福成绩单
护照首页扫描件
电子版报名照
报名费付款证明

申请费:100欧元

 

项目名称

项目时长

项目文凭

授课语言

授课地点

项目学费

学历要求

笔试要求

语言要求

项目网站

风险和金融硕士

授课1年 + 实习半年

硕士 / 学校文凭 / 中国教育部认可

尼斯

21,500欧元/年

法国以外国家获得的学士学位(大四在读生可以申请)

GMAT

IELTS

链接

项目介绍

The MSc in Risk & Finance,a 13-month part-time programme offered from London and Singapore,is designed for:

  • professionals in the investment management industry wishing to progress or maintain leadership
  • finance practitioners contemplating lateral moves
  • high-potential graduates for an international career in finance
Formatted to be compatible with professional schedules, the programme prepares participants for decisions in financial markets (pricing and hedging financial instruments, assessing and selecting investments) and familiarises them with the fundamentals of risk management. It also prepares them for key corporate finance decisions as determining funding needs and managing cash and risks in an international environment. 

课程详细

Core Modules 核心课程

Foundations of Asset Pricing & Portfolio Management

资产定价和投资组合管理基础
Empirical Finance 实证金融
Advanced Financial Analysis 高级财务分析
Advanced Corporate Finance 高级企业金融
Portfolio Construction & Management 投资组合架构和管理
Risk Measurement & Management 风险分析和管理
Treasury Risk Management 企业收入风险管理
Financial Regulation & Ethics 金融法规和道德
Performance Measurement, Analysis & Reporting 绩效分析和报告
Alternative Investment (LONDON) 另类投资(伦敦)
Asset Finance (SINGAPORE) 资产金融(新加坡)
Investing in Smart Betas 投资Smart Betas