雷丁大学金融专业解析
雷丁的ICMA,一直都是名声在外的~在这里念书说不好你哪个同学就是其貌不扬超级大家族的继承人神马的╮(╯▽╰)╭
雷丁大学ICMA中心的硕士课程有:
MSc Behavioural Finance
MSc International Securities, Investment and Banking
MSc Capital Markets, Regulation and Compliance
MSc Corporate Finance
MSc Financial Engineering
MSc Financial Risk Management
MSc International Shipping and Finance
MSc Investment Banking and Islamic Finance
MSc Investment Management
其中最大的专业是MSc International Securities, Investment and Banking
第一学期
必修课(4门)每门20学分
Quantitative Methods for Finance
这门课除了打基础的概率统计,还要学习线性代数,线性回归,微积分,以及投资组合数学和期权定价等。
Financial Markets
理论性比较强,是一个偏文科的课程,需要记忆的东西比较多。
Securities, Futures and Options
每周两个半小时,因为是8个专业的必修课,所以拆分成两个小组上课。课程内容包括前期的Securities 和后期的Derivatives。Securities主要介绍金融市场的现状,投资组合理论,CAPM、APT模型,有效市场假说等等。后一块主要介绍衍生品。
Fixed Income and Equity Investments
主要介绍债券的各种知识,久期,CDS,债券的管理技巧等,中间有一堂课专门讲Mortgage backed Securities 和securitization,后面就是类似于看表分析的股票分析。
第二学期
必修课(1门)10学分
International Securities Markets
选修课要求学生在以下课程中任选,修够90学分
Portfolio Management 20’
Financial Econometrics 20’
Market Risk 20’
Derivatives Securities: Pricing, Hedging and Trading 20’
Foreign Exchange and Money Markets 20’
Research Project 20’
Topics in the History of Finance 10’
Bond Market Pricing and Trading Strategies 20’
Corporate Finance 20’
Commodity Derivatives 10’
Advanced Finance Theory with Empirical Applications 20’
Essentials of Financial Engineering 10’
Stock Index Futures 10’
Occupational Pensions 20’
Real Estate Finance 10’
Advanced Finance Theory with Empirical Applications 20’
Topics in Financial Regulation 20’
Liquidity Risk and Algorithmic Trading 20’
Behavioural Finance 10’
*总成绩要在50%以上,挂掉的学分(低于50%)最多不能超过50分,就可以按时拿到毕业证。否则的话,就要参加补考,待补考成绩出来了再确定能不能拿毕业证。
————————我是分割线——————————
戳露珠▽
WeChat:UK-DIY
露珠企鹅:2850566500
主页菌微博:@英国自助申请中心
雷丁大学ICMA中心的硕士课程有:
MSc Behavioural Finance
MSc International Securities, Investment and Banking
MSc Capital Markets, Regulation and Compliance
MSc Corporate Finance
MSc Financial Engineering
MSc Financial Risk Management
MSc International Shipping and Finance
MSc Investment Banking and Islamic Finance
MSc Investment Management
其中最大的专业是MSc International Securities, Investment and Banking
第一学期
必修课(4门)每门20学分
Quantitative Methods for Finance
这门课除了打基础的概率统计,还要学习线性代数,线性回归,微积分,以及投资组合数学和期权定价等。
Financial Markets
理论性比较强,是一个偏文科的课程,需要记忆的东西比较多。
Securities, Futures and Options
每周两个半小时,因为是8个专业的必修课,所以拆分成两个小组上课。课程内容包括前期的Securities 和后期的Derivatives。Securities主要介绍金融市场的现状,投资组合理论,CAPM、APT模型,有效市场假说等等。后一块主要介绍衍生品。
Fixed Income and Equity Investments
主要介绍债券的各种知识,久期,CDS,债券的管理技巧等,中间有一堂课专门讲Mortgage backed Securities 和securitization,后面就是类似于看表分析的股票分析。
第二学期
必修课(1门)10学分
International Securities Markets
选修课要求学生在以下课程中任选,修够90学分
Portfolio Management 20’
Financial Econometrics 20’
Market Risk 20’
Derivatives Securities: Pricing, Hedging and Trading 20’
Foreign Exchange and Money Markets 20’
Research Project 20’
Topics in the History of Finance 10’
Bond Market Pricing and Trading Strategies 20’
Corporate Finance 20’
Commodity Derivatives 10’
Advanced Finance Theory with Empirical Applications 20’
Essentials of Financial Engineering 10’
Stock Index Futures 10’
Occupational Pensions 20’
Real Estate Finance 10’
Advanced Finance Theory with Empirical Applications 20’
Topics in Financial Regulation 20’
Liquidity Risk and Algorithmic Trading 20’
Behavioural Finance 10’
*总成绩要在50%以上,挂掉的学分(低于50%)最多不能超过50分,就可以按时拿到毕业证。否则的话,就要参加补考,待补考成绩出来了再确定能不能拿毕业证。
————————我是分割线——————————
戳露珠▽
WeChat:UK-DIY
露珠企鹅:2850566500
主页菌微博:@英国自助申请中心
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