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金融(资产管理)硕士
MSc Finance (Asset Management)
综合排名:  4
所属院校:  爱尔兰科克大学

The MSc Finance (Asset Management) is a one-year programme developed to prepare students for careers in the international investment, asset management, finance and banking industries. Students focus on developing the analytical and professional skills necessary for a career in finance. The course aims to produce graduates who can contribute to the industry from their first day in employment.


The course has been designed in conjunction with industry to ensure its graduates have the skills to match the needs of employers. On completion of the MSc Finance (Asset Management), you can expect to have excellent career prospects within investment management, banking, insurance, proprietary trading, wealth management and alternative investments.


The MSc Finance (Asset Management) programme is a member of the CFA® Institute University Affiliated programme and is a CAIA® Association Academic Partner. These partnerships ensure the programme content remains up to date and relevant to the requirements of employers.

申请要求

Applicants must normally have (or expect to have) a 2H1 degree in a degree (NFQ Level 8) or equivalent in:

– A business related programme (e.g. Commerce, Law, Business Studies, Economics, Accounting, Finance, Marketing, Information Systems etc.)

OR

– A programme with a significant quantitative element (e.g. Mathematics, Statistics, Engineering, Science, Computing etc.)


Applicants who achieve a 2H2 degree but meet all other requirements and applicants from other degree disciplines with at least a 2H1 degree are considered on a case by case basis.


TEST SCORES:

IELTS: 6.5, Minimum individual sections 5.5.

TOEFL: TOEFL 90, Listening - 17; Reading - 18; Speaking - 20; Writing 17.

PTE: Minimum Score of 63 with no section score below 51.

专业介绍
序号 课程介绍 Curriculum
1 金融项目 Project Finance
2 风险管理 Risk Management
3 风险投资与私募股权 Venture Capital and Private Equity
4 金融分析与预测 Financial Analysis and Forecasting
5 定量分析 Quantitative Analysis
6 研究方法 Research Methods
7 资本市场和基金行业监管与道德 Capital Markets and Funds Industry Regulation and Ethics
8 衍生品证券 Derivatives Securities
9 资产定价和分配 Asset Pricing and Allocation
10 债务工具分析 Analysis of Debt Instruments
11 股权评估 Equity Valuation
12 职业发展 Professional Development
13 职业测试报告 Professional Examination Report
14 企业实习-资产管理 Corporate Internship – Asset Management
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