This programme will aim to provide a clear understanding of the theory and practice of international banking and finance, as well as familiarity with the latest innovative techniques in international lending and borrowing, asset and liability management, and risk appraisal. It will develop your existing skills through advanced study, with an international focus and the practical application of financial techniques in a real-world setting. Programme structure Core modules: Corporate finance 1 and 2; Financial risk management; International banking Optional modules: Derivative securities analysis; Fixed income securities analysis; International financial policy; Introduction to portfolio management and exchange traded derivatives; Quantitative research in finance; Stock market analysis Plus: Dissertation.
Number | Duration |
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1 | year |
Careers: Central banks; domestic banks; investment banks; other financial institutions.